Please ensure Javascript is enabled for purposes of website accessibility Small/Mid Cap Growth Alpha ETF - Janus Henderson Investors
For Individual Investors in the US

Small/Mid Cap Growth Alpha ETF Holdings

Full Portfolio Holdings

(As of July 19, 2024)

Ticker Cusip Underlying Security Strike Price Quantity (Shares/ Par/ Units/ Contracts) Notional Value Market Value Weight %
Incyte Corporation INCY US 45337C102 - - 163,163 $10,747,547 $10,747,547 2.97
Neurocrine Biosciences, Inc. NBIX US 64125C109 - - 73,025 $10,639,012 $10,639,012 2.94
AppLovin Corp. Class A APP US 03831W108 - - 129,843 $10,621,157 $10,621,157 2.93
Medpace Holdings, Inc. MEDP US 58506Q109 - - 22,482 $9,471,891 $9,471,891 2.61
HEICO Corporation HEI US 422806109 - - 41,152 $9,127,925 $9,127,925 2.53
Bio-Techne Corporation TECH US 09073M104 - - 114,349 $8,628,776 $8,628,776 2.39
Bentley Systems, Incorporated Class B BSY US 08265T208 - - 171,686 $8,321,620 $8,321,620 2.30
Charles River Laboratories International, Inc. CRL US 159864107 - - 37,378 $8,157,375 $8,157,375 2.26
Rollins, Inc. ROL US 775711104 - - 164,626 $8,139,109 $8,139,109 2.25
Bruker Corporation BRKR US 116794108 - - 105,460 $6,526,919 $6,526,919 1.81
Lantheus Holdings Inc LNTH US 516544103 - - 50,293 $5,873,719 $5,873,719 1.63
Ensign Group, Inc. ENSG US 29358P101 - - 41,325 $5,600,777 $5,600,777 1.55
Fabrinet FN US G3323L100 - - 21,513 $5,082,016 $5,082,016 1.41
Halozyme Therapeutics, Inc. HALO US 40637H109 - - 92,352 $4,990,702 $4,990,702 1.38
Royal Gold, Inc. RGLD US 780287108 - - 35,909 $4,961,906 $4,961,906 1.37
Graphic Packaging Holding Company GPK US 388689101 - - 167,353 $4,657,434 $4,657,434 1.29
Lattice Semiconductor Corporation LSCC US 518415104 - - 81,863 $4,603,156 $4,603,156 1.27
SPS Commerce, Inc. SPSC US 78463M107 - - 22,039 $4,457,167 $4,457,167 1.23
Advanced Drainage Systems, Inc. WMS US 00790R104 - - 26,323 $4,385,675 $4,385,675 1.21
Eagle Materials Inc. EXP US 26969P108 - - 18,491 $4,251,451 $4,251,451 1.18
Erie Indemnity Company Class A ERIE US 29530P102 - - 10,613 $4,018,306 $4,018,306 1.11
Option Care Health Inc OPCH US 68404L201 - - 126,120 $3,825,220 $3,825,220 1.06
Comfort Systems USA, Inc. FIX US 199908104 - - 12,145 $3,695,481 $3,695,481 1.02
Tetra Tech, Inc. TTEK US 88162G103 - - 18,187 $3,673,410 $3,673,410 1.02
Commercial Metals Company CMC US 201723103 - - 63,221 $3,641,530 $3,641,530 1.01
CorVel Corporation CRVL US 221006109 - - 12,423 $3,531,983 $3,531,983 0.98
FTAI Aviation Ltd. FTAI US G3730V105 - - 34,080 $3,478,205 $3,478,205 0.96
Dropbox, Inc. Class A DBX US 26210C104 - - 148,989 $3,444,626 $3,444,626 0.95
Core & Main, Inc. Class A CNM US 21874C102 - - 65,323 $3,362,175 $3,362,175 0.93
Badger Meter, Inc. BMI US 056525108 - - 17,494 $3,333,657 $3,333,657 0.92
Qualys, Inc. QLYS US 74758T303 - - 21,983 $3,133,677 $3,133,677 0.87
Paycom Software, Inc. PAYC US 70432V102 - - 19,754 $3,123,107 $3,123,107 0.87
Interactive Brokers Group, Inc. Class A IBKR US 45841N107 - - 24,610 $2,969,196 $2,969,196 0.82
WESCO International, Inc. WCC US 95082P105 - - 17,278 $2,927,584 $2,927,584 0.81
FTI Consulting, Inc. FCN US 302941109 - - 12,136 $2,749,775 $2,749,775 0.76
Paylocity Holding Corp. PCTY US 70438V106 - - 19,183 $2,742,018 $2,742,018 0.76
Applied Industrial Technologies, Inc. AIT US 03820C105 - - 13,123 $2,674,205 $2,674,205 0.74
WillScot Mobile Mini Holdings Corp. Class A WSC US 971378104 - - 64,650 $2,651,296 $2,651,296 0.73
Simpson Manufacturing Co., Inc. SSD US 829073105 - - 14,355 $2,607,007 $2,607,007 0.72
AGCO Corporation AGCO US 001084102 - - 25,367 $2,588,195 $2,588,195 0.72
Corcept Therapeutics Incorporated. CORT US 218352102 - - 75,541 $2,559,329 $2,559,329 0.71
Doximity, Inc. Class A DOCS US 26622P107 - - 89,246 $2,518,522 $2,518,522 0.70
Axcelis Technologies, Inc. ACLS US 054540208 - - 19,362 $2,477,562 $2,477,562 0.69
AAON, Inc. AAON US 000360206 - - 27,949 $2,429,886 $2,429,886 0.67
Mueller Industries, Inc. MLI US 624756102 - - 38,616 $2,426,243 $2,426,243 0.67
New York Times Company Class A NYT US 650111107 - - 45,732 $2,401,873 $2,401,873 0.67
Matador Resources Company MTDR US 576485205 - - 36,688 $2,350,233 $2,350,233 0.65
Sanmina Corporation SANM US 801056102 - - 33,000 $2,327,820 $2,327,820 0.64
Box, Inc. Class A BOX US 10316T104 - - 86,584 $2,324,780 $2,324,780 0.64
Nextracker Inc. Class A NXT US 65290E101 - - 48,030 $2,298,716 $2,298,716 0.64
Casey's General Stores, Inc. CASY US 147528103 - - 5,579 $2,101,330 $2,101,330 0.58
SiteOne Landscape Supply, Inc. SITE US 82982L103 - - 15,368 $2,077,139 $2,077,139 0.58
DoubleVerify Holdings, Inc. DV US 25862V105 - - 102,239 $2,045,802 $2,045,802 0.57
Alarm.com Holdings, Inc. ALRM US 011642105 - - 29,868 $2,007,428 $2,007,428 0.56
Kinsale Capital Group, Inc. KNSL US 49714P108 - - 5,347 $1,980,582 $1,980,582 0.55
Western Alliance Bancorp WAL US 957638109 - - 25,297 $1,940,786 $1,940,786 0.54
Progyny, Inc. PGNY US 74340E103 - - 69,087 $1,919,928 $1,919,928 0.53
Plexus Corp. PLXS US 729132100 - - 16,298 $1,879,648 $1,879,648 0.52
ExlService Holdings, Inc. EXLS US 302081104 - - 55,219 $1,875,237 $1,875,237 0.52
TriNet Group, Inc. TNET US 896288107 - - 17,230 $1,861,693 $1,861,693 0.52
Watts Water Technologies, Inc. Class A WTS US 942749102 - - 9,317 $1,829,486 $1,829,486 0.51
BJ's Wholesale Club Holdings, Inc. BJ US 05550J101 - - 19,998 $1,785,021 $1,785,021 0.49
TopBuild Corp. BLD US 89055F103 - - 3,980 $1,782,045 $1,782,045 0.49
DigitalOcean Holdings, Inc. DOCN US 25402D102 - - 54,210 $1,779,172 $1,779,172 0.49
Atkore Inc ATKR US 047649108 - - 12,384 $1,756,423 $1,756,423 0.49
Celsius Holdings, Inc. CELH US 15118V207 - - 35,124 $1,741,448 $1,741,448 0.48
UFP Technologies, Inc. UFPT US 902673102 - - 5,565 $1,740,732 $1,740,732 0.48
Toll Brothers, Inc. TOL US 889478103 - - 12,904 $1,697,521 $1,697,521 0.47
Franklin Electric Co., Inc. FELE US 353514102 - - 15,664 $1,605,717 $1,605,717 0.44
Ryan Specialty Holdings, Inc. Class A RYAN US 78351F107 - - 27,353 $1,566,506 $1,566,506 0.43
Perficient, Inc. PRFT US 71375U101 - - 20,920 $1,565,862 $1,565,862 0.43
Dick's Sporting Goods, Inc. DKS US 253393102 - - 7,284 $1,545,009 $1,545,009 0.43
New Fortress Energy Inc. Class A NFE US 644393100 - - 60,286 $1,543,322 $1,543,322 0.43
STAAR Surgical Company STAA US 852312305 - - 35,646 $1,514,955 $1,514,955 0.42
CSW Industrials, Inc. CSWI US 126402106 - - 5,279 $1,501,031 $1,501,031 0.42
Concentrix Corporation CNXC US 20602D101 - - 22,432 $1,500,028 $1,500,028 0.42
e.l.f. Beauty, Inc. ELF US 26856L103 - - 8,429 $1,496,316 $1,496,316 0.41
RLI Corp. RLI US 749607107 - - 10,502 $1,463,874 $1,463,874 0.41
Catalyst Pharmaceuticals, Inc. CPRX US 14888U101 - - 85,693 $1,451,639 $1,451,639 0.40
CBIZ, Inc. CBZ US 124805102 - - 17,034 $1,434,774 $1,434,774 0.40
Addus HomeCare Corporation ADUS US 006739106 - - 11,877 $1,411,225 $1,411,225 0.39
Amphastar Pharmaceuticals, Inc. AMPH US 03209R103 - - 35,480 $1,405,363 $1,405,363 0.39
Herc Holdings, Inc. HRI US 42704L104 - - 9,644 $1,395,101 $1,395,101 0.39
Coca-Cola Consolidated, Inc. COKE US 191098102 - - 1,261 $1,368,816 $1,368,816 0.38
Wingstop, Inc. WING US 974155103 - - 3,673 $1,356,476 $1,356,476 0.38
Rexford Industrial Realty, Inc. REXR US 76169C100 - - 27,064 $1,329,113 $1,329,113 0.37
Kadant Inc. KAI US 48282T104 - - 3,991 $1,325,657 $1,325,657 0.37
Murphy USA, Inc. MUSA US 626755102 - - 2,591 $1,324,286 $1,324,286 0.37
ePlus inc. PLUS US 294268107 - - 16,039 $1,321,614 $1,321,614 0.37
Harmony Biosciences Holdings, Inc. HRMY US 413197104 - - 41,203 $1,320,144 $1,320,144 0.37
Hamilton Lane Incorporated Class A HLNE US 407497106 - - 9,311 $1,302,516 $1,302,516 0.36
EverCommerce, Inc. EVCM US 29977X105 - - 110,148 $1,298,645 $1,298,645 0.36
Essential Utilities, Inc. WTRG US 29670G102 - - 31,543 $1,284,431 $1,284,431 0.36
Rush Enterprises, Inc. Class A RUSHA US 781846209 - - 26,360 $1,245,774 $1,245,774 0.35
Sprouts Farmers Market, Inc. SFM US 85208M102 - - 15,139 $1,241,701 $1,241,701 0.34
Floor & Decor Holdings, Inc. Class A FND US 339750101 - - 13,385 $1,239,986 $1,239,986 0.34
United States Lime & Minerals, Inc. USLM US 911922102 - - 15,540 $1,236,207 $1,236,207 0.34
GMS, Inc. GMS US 36251C103 - - 13,540 $1,222,933 $1,222,933 0.34
Sterling Infrastructure, Inc. STRL US 859241101 - - 10,491 $1,217,166 $1,217,166 0.34
Hawkins, Inc. HWKN US 420261109 - - 11,387 $1,197,685 $1,197,685 0.33
ZoomInfo Technologies Inc ZI US 98980F104 - - 104,558 $1,197,189 $1,197,189 0.33
NAPCO Security Technologies, Inc. NSSC US 630402105 - - 21,941 $1,173,405 $1,173,405 0.33
SLM Corp SLM US 78442P106 - - 50,474 $1,157,369 $1,157,369 0.32
Selective Insurance Group, Inc. SIGI US 816300107 - - 13,966 $1,146,329 $1,146,329 0.32
Enstar Group Limited ESGR US G3075P101 - - 3,499 $1,136,755 $1,136,755 0.31
IES Holdings, Inc. IESC US 44951W106 - - 6,881 $1,021,278 $1,021,278 0.28
Crocs, Inc. CROX US 227046109 - - 7,593 $1,013,666 $1,013,666 0.28
Caesars Entertainment Inc CZR US 12769G100 - - 27,068 $997,726 $997,726 0.28
BellRing Brands, Inc. BRBR US 07831C103 - - 19,654 $995,475 $995,475 0.28
Photronics, Inc. PLAB US 719405102 - - 37,697 $973,337 $973,337 0.27
McGrath RentCorp MGRC US 580589109 - - 8,343 $941,883 $941,883 0.26
International Bancshares Corporation IBOC US 459044103 - - 14,282 $940,184 $940,184 0.26
Axos Financial, Inc. AX US 05465C100 - - 13,086 $927,405 $927,405 0.26
Etsy, Inc. ETSY US 29786A106 - - 14,625 $917,865 $917,865 0.25
Darling Ingredients Inc DAR US 237266101 - - 24,073 $900,571 $900,571 0.25
Lithia Motors, Inc. LAD US 536797103 - - 3,427 $869,121 $869,121 0.24
Meritage Homes Corporation MTH US 59001A102 - - 4,541 $863,244 $863,244 0.24
Installed Building Products, Inc. IBP US 45780R101 - - 3,557 $855,601 $855,601 0.24
HA Sustainable Infrastructure Capital, Inc. HASI US 41068X100 - - 26,579 $844,149 $844,149 0.23
Tecnoglass Inc. TGLS US G87264100 - - 16,008 $825,370 $825,370 0.23
MYR Group Inc. MYRG US 55405W104 - - 5,698 $808,318 $808,318 0.22
Terreno Realty Corporation TRNO US 88146M101 - - 11,991 $803,997 $803,997 0.22
Kinetik Holdings Inc. Class A KNTK US 02215L209 - - 17,553 $790,587 $790,587 0.22
Victory Capital Holdings, Inc. Class A VCTR US 92645B103 - - 14,864 $766,685 $766,685 0.21
Alamo Group Inc. ALG US 011311107 - - 4,096 $752,845 $752,845 0.21
NMI Holdings, Inc. NMIH US 629209305 - - 18,438 $691,056 $691,056 0.19
ACM Research, Inc. Class A ACMR US 00108J109 - - 33,911 $681,950 $681,950 0.19
Essential Properties Realty Trust, Inc. EPRT US 29670E107 - - 21,802 $670,848 $670,848 0.19
Atlas Energy Solutions Inc. AESI US 642045108 - - 32,290 $663,882 $663,882 0.18
PJT Partners, Inc. Class A PJT US 69343T107 - - 5,509 $646,702 $646,702 0.18
Asbury Automotive Group, Inc. ABG US 043436104 - - 2,523 $620,305 $620,305 0.17
Inter Parfums, Inc. IPAR US 458334109 - - 4,824 $597,887 $597,887 0.17
AssetMark Financial Holdings, Inc. AMK US 04546L106 - - 17,090 $587,042 $587,042 0.16
Bancorp Inc TBBK US 05969A105 - - 11,888 $573,596 $573,596 0.16
Arbor Realty Trust Inc ABR US 038923108 - - 43,301 $567,676 $567,676 0.16
Array Technologies Inc ARRY US 04271T100 - - 51,571 $542,527 $542,527 0.15
Five Below, Inc. FIVE US 33829M101 - - 6,903 $533,671 $533,671 0.15
Merchants Bancorp MBIN US 58844R108 - - 10,506 $514,269 $514,269 0.14
M/I Homes, Inc. MHO US 55305B101 - - 3,469 $514,106 $514,106 0.14
Group 1 Automotive, Inc. GPI US 398905109 - - 1,693 $513,047 $513,047 0.14
Palomar Holdings, Inc. PLMR US 69753M105 - - 5,723 $508,145 $508,145 0.14
Payoneer Global Inc. PAYO US 70451X104 - - 85,760 $473,395 $473,395 0.13
Dorian LPG Ltd. LPG US Y2106R110 - - 11,939 $468,964 $468,964 0.13
Integral Ad Science Holding Corp IAS US 45828L108 - - 44,872 $459,938 $459,938 0.13
Enova International Inc ENVA US 29357K103 - - 6,313 $458,639 $458,639 0.13
Boot Barn Holdings, Inc. BOOT US 099406100 - - 3,801 $454,714 $454,714 0.13
Customers Bancorp, Inc. CUBI US 23204G100 - - 7,268 $449,744 $449,744 0.12
Otter Tail Corporation OTTR US 689648103 - - 4,820 $447,055 $447,055 0.12
Madison Square Garden Entertainment Corp. MSGE US 558256103 - - 11,493 $435,470 $435,470 0.12
Cal-Maine Foods, Inc. CALM US 128030202 - - 6,663 $434,428 $434,428 0.12
Blue Owl Capital Corporation III OBDE US 69122G102 - - 28,955 $427,086 $427,086 0.12
Innovative Industrial Properties Inc IIPR US 45781V101 - - 3,547 $419,539 $419,539 0.12
CRA International, Inc. CRAI US 12618T105 - - 2,350 $417,994 $417,994 0.12
YETI Holdings, Inc. YETI US 98585X104 - - 10,656 $415,477 $415,477 0.12
National Storage Affiliates Trust NSA US 637870106 - - 9,222 $407,520 $407,520 0.11
Shutterstock, Inc. SSTK US 825690100 - - 10,017 $406,891 $406,891 0.11
Cavco Industries, Inc. CVCO US 149568107 - - 1,036 $405,387 $405,387 0.11
Green Brick Partners, Inc. GRBK US 392709101 - - 5,616 $400,702 $400,702 0.11
Ready Capital Corporation RC US 75574U101 - - 40,211 $388,022 $388,022 0.11
Cross Country Healthcare, Inc. CCRN US 227483104 - - 25,214 $384,261 $384,261 0.11
National Bank Holdings Corporation Class A NBHC US 633707104 - - 8,684 $383,138 $383,138 0.11
Shoals Technologies Group, Inc. Class A SHLS US 82489W107 - - 57,894 $381,521 $381,521 0.11
Pathward Financial, Inc. CASH US 59100U108 - - 5,801 $368,944 $368,944 0.10
Goosehead Insurance, Inc. Class A GSHD US 38267D109 - - 5,795 $365,375 $365,375 0.10
Skyward Specialty Insurance Group, Inc. SKWD US 830940102 - - 9,182 $355,160 $355,160 0.10
Quanex Building Products Corporation NX US 747619104 - - 11,244 $351,038 $351,038 0.10
Clearfield, Inc. CLFD US 18482P103 - - 8,464 $342,369 $342,369 0.09
Kimball Electronics, Inc. KE US 49428J109 - - 14,788 $339,828 $339,828 0.09
American States Water Company AWR US 029899101 - - 4,290 $339,425 $339,425 0.09
Westamerica Bancorporation WABC US 957090103 - - 6,125 $335,221 $335,221 0.09
Global Ship Lease, Inc. Class A GSL US Y27183600 - - 11,954 $296,101 $296,101 0.08
Preferred Bank PFBC US 740367404 - - 3,452 $288,691 $288,691 0.08
Byline Bancorp, Inc. BY US 124411109 - - 10,128 $279,432 $279,432 0.08
Granite Ridge Resources, Inc. GRNT US 387432107 - - 38,403 $264,981 $264,981 0.07
MGP Ingredients, Inc. MGPI US 55303J106 - - 3,314 $264,523 $264,523 0.07
QCR Holdings, Inc. QCRH US 74727A104 - - 3,856 $262,709 $262,709 0.07
Vital Farms, Inc. VITL US 92847W103 - - 6,349 $250,151 $250,151 0.07
Ardmore Shipping Corp. ASC US Y0207T100 - - 12,258 $247,612 $247,612 0.07
American Healthcare REIT, Inc. AHR US 398182303 - - 14,277 $234,999 $234,999 0.07
Scilex Holding Company SCLX US 80880W106 - - 131,330 $229,171 $229,171 0.06
DocGo Inc. DCGO US 256086109 - - 73,605 $227,439 $227,439 0.06
Amalgamated Financial Corp AMAL US 022671101 - - 7,003 $220,524 $220,524 0.06
Hagerty Inc Class A HGTY US 405166109 - - 19,668 $220,085 $220,085 0.06
HCI Group, Inc. HCI US 40416E103 - - 2,404 $213,091 $213,091 0.06
Bank First Corp BFC US 06211J100 - - 2,324 $210,415 $210,415 0.06
Preformed Line Products Company PLPC US 740444104 - - 1,672 $207,428 $207,428 0.06
Bowman Consulting Group, Ltd. BWMN US 103002101 - - 5,998 $205,791 $205,791 0.06
Red Violet, Inc. RDVT US 75704L104 - - 8,161 $205,004 $205,004 0.06
CrossFirst Bankshares, Inc. CFB US 22766M109 - - 11,308 $201,735 $201,735 0.06
Karat Packaging, Inc. KRT US 48563L101 - - 6,780 $195,128 $195,128 0.05
Vivid Seats Inc. Class A SEAT US 92854T100 - - 36,704 $193,797 $193,797 0.05
Semler Scientific, Inc. SMLR US 81684M104 - - 5,117 $171,573 $171,573 0.05
Old Second Bancorp, Inc. OSBC US 680277100 - - 10,285 $168,263 $168,263 0.05
Aris Water Solutions, Inc. Class A ARIS US 04041L106 - - 10,368 $166,095 $166,095 0.05
Coastal Financial Corporation CCB US 19046P209 - - 3,078 $156,208 $156,208 0.04
International Money Express, Inc. IMXI US 46005L101 - - 7,486 $155,260 $155,260 0.04
Bowlero Corp. Class A BOWL US 10258P102 - - 11,286 $149,201 $149,201 0.04
Velocity Financial, Inc. VEL US 92262D101 - - 7,564 $143,640 $143,640 0.04
Metropolitan Bank Holding Corp. MCB US 591774104 - - 2,565 $143,384 $143,384 0.04
Five Star Bancorp FSBC US 33830T103 - - 4,887 $138,351 $138,351 0.04
Business First Bancshares, Inc. BFST US 12326C105 - - 5,847 $137,989 $137,989 0.04
Plymouth Industrial REIT, Inc. PLYM US 729640102 - - 5,638 $136,428 $136,428 0.04
HomeTrust Bancshares, Inc. HTBI US 437872104 - - 4,000 $135,880 $135,880 0.04
Hudson Technologies, Inc. HDSN US 444144109 - - 15,440 $135,872 $135,872 0.04
Dream Finders Homes, Inc. Class A DFH US 26154D100 - - 4,305 $133,412 $133,412 0.04
Greene County Bancorp, Inc. GCBC US 394357107 - - 3,904 $131,994 $131,994 0.04
Duckhorn Portfolio, Inc. NAPA US 26414D106 - - 17,353 $131,709 $131,709 0.04
Hibbett Inc HIBB US 428567101 - - 1,492 $130,460 $130,460 0.04
Titan Machinery Inc. TITN US 88830R101 - - 7,739 $128,390 $128,390 0.04
XPEL, Inc. XPEL US 98379L100 - - 3,448 $126,783 $126,783 0.04
Capital City Bank Group, Inc. CCBG US 139674105 - - 3,883 $124,644 $124,644 0.03
Northeast Bank NBN US 66405S100 - - 1,787 $123,339 $123,339 0.03
GigaCloud Technology, Inc. Class A GCT US G38644103 - - 4,109 $117,476 $117,476 0.03
Alta Equipment Group, Inc. ALTG US 02128L106 - - 11,234 $116,497 $116,497 0.03
Target Hospitality Corp. TH US 87615L107 - - 12,512 $114,860 $114,860 0.03
Atlanticus Holdings Corp. ATLC US 04914Y102 - - 3,391 $112,920 $112,920 0.03
Sezzle Inc. SEZL US 78435P105 - - 1,299 $108,454 $108,454 0.03
Esquire Financial Holdings, Inc. ESQ US 29667J101 - - 1,900 $104,747 $104,747 0.03
Arhaus, Inc. Class A ARHS US 04035M102 - - 6,643 $104,627 $104,627 0.03
Paymentus Holdings, Inc Class A PAY US 70439P108 - - 5,019 $99,828 $99,828 0.03
CompoSecure, Inc. Class A CMPO US 20459V105 - - 12,240 $96,941 $96,941 0.03
Malibu Boats, Inc. Class A MBUU US 56117J100 - - 2,548 $96,289 $96,289 0.03
MarineMax, Inc. HZO US 567908108 - - 2,781 $91,606 $91,606 0.03
Unity Bancorp, Inc. UNTY US 913290102 - - 2,298 $78,706 $78,706 0.02
Altus Power, Inc. Class A AMPS US 02217A102 - - 18,371 $76,607 $76,607 0.02
Orrstown Financial Services, Inc. ORRF US 687380105 - - 2,454 $76,000 $76,000 0.02
Orange County Bancorp, Inc. OBT US 68417L107 - - 1,295 $75,240 $75,240 0.02
Capital Bancorp, Inc. CBNK US 139737100 - - 3,178 $74,524 $74,524 0.02
Chicago Atlantic Real Estate Finance, Inc. REFI US 167239102 - - 4,508 $72,218 $72,218 0.02
Third Coast Bancshares Inc TCBX US 88422P109 - - 3,125 $72,094 $72,094 0.02
NorthEast Community Bancorp Inc NECB US 664121100 - - 3,226 $66,359 $66,359 0.02
Civista Bancshares, Inc. CIVB US 178867107 - - 3,599 $63,450 $63,450 0.02
Friedman Industries, Incorporated FRD US 358435105 - - 3,784 $62,966 $62,966 0.02
Southern California Bancorp BCAL US 84252A106 - - 4,241 $62,300 $62,300 0.02
Southern States Bancshares, Inc. SSBK US 843878307 - - 2,039 $59,885 $59,885 0.02
Plumas Bancorp PLBC US 729273102 - - 1,349 $54,823 $54,823 0.02
Lovesac Company LOVE US 54738L109 - - 1,931 $54,319 $54,319 0.02
Kingsway Financial Services Inc KFS US 496904202 - - 6,390 $53,037 $53,037 0.01
Princeton Bancorp, Inc. BPRN US 74179A107 - - 1,453 $52,918 $52,918 0.01
Oak Valley Bancorp OVLY US 671807105 - - 1,914 $51,046 $51,046 0.01
Oil-Dri Corporation of America ODC US 677864100 - - 769.00 $48,032 $48,032 0.01
EVgo, Inc. Class A EVGO US 30052F100 - - 13,235 $46,852 $46,852 0.01
ESSA Bancorp, Inc. ESSA US 29667D104 - - 2,318 $45,665 $45,665 0.01
Mama's Creations, Inc. MAMA US 56146T103 - - 5,594 $45,591 $45,591 0.01
California BanCorp CALB US 13005U101 - - 1,931 $45,494 $45,494 0.01
Bankwell Financial Group, Inc. BWFG US 06654A103 - - 1,808 $44,585 $44,585 0.01
Mastercraft Boat Holdings, Inc. MCFT US 57637H103 - - 2,116 $42,553 $42,553 0.01
Postal Realty Trust, Inc. Class A PSTL US 73757R102 - - 2,780 $39,837 $39,837 0.01
OPAL Fuels Inc. Class A OPAL US 68347P103 - - 8,314 $33,755 $33,755 0.01
Smith Douglas Homes Corp. Class A SDHC US 83207R107 - - 1,103 $31,822 $31,822 0.01
VirTra, Inc. VTSI US 92827K301 - - 3,763 $31,421 $31,421 0.01
MainStreet Bancshares, Inc. MNSB US 56064Y100 - - 1,742 $31,042 $31,042 0.01
Franklin Financial Services Corporation FRAF US 353525108 - - 1,006 $29,164 $29,164 0.01
Pure Cycle Corporation PCYO US 746228303 - - 2,768 $29,147 $29,147 0.01
Heritage Global Inc. HGBL US 42727E103 - - 8,550 $21,460 $21,460 0.01
US DOLLARS USD MD_142224 - - -13,921 $-13,921 $-13,921 0.00
Janus Henderson publishes this listing of identities and quantities of each position held by the fund on each business day, before commencement of trading. 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.