C000117905 Holdings — Janus Henderson U.S. Low Volatility Portfolio

All 217 reported holdings of Janus Henderson U.S. Low Volatility Portfolio (C000117905) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Southern Co0.06%$61.94M
Procter & Gamble Co0.05%$56.97M
Consolidated Edison Inc0.04%$42.47M
Walmart Inc0.03%$36.01M
Johnson & Johnson0.03%$34.01M
General Mills Inc0.03%$33.07M
McDonald's Corp0.03%$31.69M
Kimberly-Clark Corp0.03%$29.95M
AutoZone Inc0.02%$25.12M
Kellogg Co0.02%$23.93M
Hershey Co0.02%$22.58M
CME Group Inc0.02%$22.61M
Lockheed Martin Corp0.02%$16.54M
Newmont Goldcorp Corp0.01%$16.09M
Altria Group Inc0.01%$15.94M
Humana Inc0.01%$15.14M
AT&T Inc0.01%$14.77M
Apple Inc0.01%$14.58M
PepsiCo Inc0.01%$14.59M
Laboratory Corp of America Hol0.01%$14.10M
Intercontinental Exchange Inc0.01%$12.78M
Duke Energy Corp0.01%$12.58M
Clorox Co0.01%$12.60M
Republic Services Inc0.01%$12.29M
Sysco Corp0.01%$11.10M
Target Corp0.01%$10.80M
Xcel Energy Inc0.01%$10.40M
L3Harris Technologies Inc0.01%$10.27M
CH Robinson Worldwide Inc0.01%$9.91M
Expeditors International of Wa0.01%$9.68M
Darden Restaurants Inc0.01%$9.67M
Raytheon Co0.01%$9.59M
Evergy Inc0.01%$9.08M
Extra Space Storage Inc0.01%$9.03M
Dominion Energy Inc0.01%$8.61M
NextEra Energy Inc0.01%$8.42M
Public Storage0.01%$8.12M
People's United Financial Inc0.01%$7.96M
Aon PLC0.01%$7.96M
Janus Henderson Cash Liquidity Fund0.01%$7.50M
Constellation Brands Inc0.01%$7.15M
Pinnacle West Capital Corp0.01%$7.13M
Hasbro Inc0.01%$6.85M
Everest Re Group Ltd0.01%$6.57M
Realty Income Corp0.01%$6.49M
M&T Bank Corp0.01%$6.05M
American Tower Corp0.01%$5.84M
Exelon Corp0.01%$5.87M
PNC Financial Services Group I0.01%$5.52M
CMS Energy Corp0.00%$5.37M
AvalonBay Communities Inc0.00%$5.21M
Essex Property Trust Inc0.00%$5.03M
WEC Energy Group Inc0.00%$5.02M
F5 Networks Inc0.00%$4.45M
Entergy Corp0.00%$4.40M
Progressive Corp0.00%$4.37M
Walt Disney Co0.00%$4.34M
TJX Cos Inc0.00%$4.39M
Motorola Solutions Inc0.00%$4.16M
Ameren Corp0.00%$3.99M
Crown Castle International Cor0.00%$4.03M
Valero Energy Corp0.00%$4.01M
Becton Dickinson and Co0.00%$3.90M
Conagra Brands Inc0.00%$3.82M
FirstEnergy Corp0.00%$3.76M
American Electric Power Co Inc0.00%$3.70M
Public Service Enterprise Grou0.00%$3.70M
Starbucks Corp0.00%$3.70M
Verisk Analytics Inc0.00%$3.70M
Mid-America Apartment Communit0.00%$3.57M
Lamb Weston Holdings Inc0.00%$3.62M
Tapestry Inc0.00%$3.54M
UDR Inc0.00%$3.55M
Waste Management Inc0.00%$3.56M
Iff0.00%$3.52M
HCP Inc0.00%$3.45M
Coca-Cola Co0.00%$3.47M
Edison International0.00%$3.46M
Hartford Financial Services Gr0.00%$3.39M
NiSource Inc0.00%$3.33M
DTE Energy Co0.00%$3.28M
Equity Residential0.00%$3.13M
Northrop Grumman Corp0.00%$3.10M
H&R Block Inc0.00%$3.18M
Sherwin-Williams Co0.00%$2.97M
Expedia Group Inc0.00%$2.89M
Phillips 660.00%$2.78M
JPMorgan Chase & Co0.00%$2.59M
Mastercard Inc0.00%$2.61M
Eli Lilly & Co0.00%$2.59M
PulteGroup Inc0.00%$2.63M
Qorvo Inc0.00%$2.42M
Keysight Technologies Inc0.00%$2.37M
Dollar Tree Inc0.00%$2.37M
Sempra Energy0.00%$2.35M
Garmin Ltd0.00%$2.44M
Welltower Inc0.00%$2.34M
VF Corp0.00%$2.29M
Ulta Beauty Inc0.00%$2.31M
Fox Corp0.00%$2.33M
O'Reilly Automotive Inc0.00%$2.31M
Activision Blizzard Inc0.00%$2.25M
Dollar General Corp0.00%$2.19M
HollyFrontier Corp0.00%$2.03M
JB Hunt Transport Services Inc0.00%$2.06M
Yum! Brands Inc0.00%$2.07M
NRG Energy Inc0.00%$2.06M
Fox Corp0.00%$2.07M
Verizon Communications Inc0.00%$2.02M
Duke Realty Corp0.00%$2.05M
Simon Property Group Inc0.00%$2.12M
American Water Works Co Inc0.00%$2.04M
Cboe Global Markets Inc0.00%$1.85M
Xilinx Inc0.00%$1.70M
Cigna Corp0.00%$1.76M
Omnicom Group Inc0.00%$1.64M
Alliant Energy Corp0.00%$1.48M
PPL Corp0.00%$1.51M
Cooper Cos Inc0.00%$1.49M
Ecolab Inc0.00%$1.52M
Hormel Foods Corp0.00%$1.36M
Broadcom Inc0.00%$1.46M
Equinix Inc0.00%$1.38M
FleetCor Technologies Inc0.00%$1.44M
Kohl's Corp0.00%$1.39M
Ventas Inc0.00%$1.38M
United Airlines Holdings Inc0.00%$1.43M
Apartment Investment & Managem0.00%$1.43M
Atmos Energy Corp0.00%$1.42M
Merck & Co Inc0.00%$1.45M
SBA Communications Corp0.00%$1.42M
Nordstrom Inc0.00%$1.45M
Pioneer Natural Resources Co0.00%$1.45M
VeriSign Inc0.00%$1.28M
Capri Holdings Ltd0.00%$1.31M
Air Products & Chemicals Inc0.00%$1.32M
Global Payments Inc0.00%$1.30M
Brown-Forman Corp0.00%$1.35M
Gap Inc0.00%$1.36M
Universal Health Services Inc0.00%$1.32M
ConocoPhillips0.00%$1.21M
Eversource Energy0.00%$1.16M
Allstate Corp0.00%$1.10M
Citrix Systems Inc0.00%$1.05M
Baxter International Inc0.00%$1.05M
Analog Devices Inc0.00%$1.04M
CenterPoint Energy Inc0.00%$1.12M
Copart Inc0.00%$1.07M
Corteva Inc0.00%$1.05M
Aflac Inc0.00%$1.10M
DR Horton Inc0.00%$1.14M
Electronic Arts Inc0.00%$933.50K
DENTSPLY SIRONA Inc0.00%$976.16K
Hilton Worldwide Holdings Inc0.00%$941.06K
eBay Inc0.00%$995.86K
Nasdaq Inc0.00%$933.89K
Take-Two Interactive Software0.00%$1.00M
Tiffany & Co0.00%$972.62K
Tyson Foods Inc0.00%$973.38K
Linde PLC0.00%$945.16K
AES Corp/VA0.00%$859.48K
Fifth Third Bancorp0.00%$732.50K
Marriott International Inc/MD0.00%$738.38K
Norfolk Southern Corp0.00%$719.18K
Lennar Corp0.00%$775.09K
Amcor PLC0.00%$787.82K
Colgate-Palmolive Co0.00%$801.26K
Western Union Co0.00%$731.34K
WW Grainger Inc0.00%$767.24K
MSCI Inc0.00%$731.86K
TechnipFMC PLC0.00%$614.07K
Ross Stores Inc0.00%$627.79K
Cadence Design Systems Inc0.00%$695.43K
Akamai Technologies Inc0.00%$655.10K
Skyworks Solutions Inc0.00%$639.15K
Macy's Inc0.00%$622.13K
Occidental Petroleum Corp0.00%$619.64K
Kinder Morgan Inc/DE0.00%$592.56K
Archer-Daniels-Midland Co0.00%$595.51K
General Motors Co0.00%$595.93K
Honeywell International Inc0.00%$574.26K
Synchrony Financial0.00%$586.14K
Ford Motor Co0.00%$579.62K
First Republic Bank/CA0.00%$566.47K
FLIR Systems Inc0.00%$386.22K
Cabot Oil & Gas Corp0.00%$412.63K
JM Smucker Co0.00%$440.08K
Anthem Inc0.00%$419.69K
Willis Towers Watson PLC0.00%$443.83K
General Electric Co0.00%$388.55K
Arthur J Gallagher & Co0.00%$380.58K
Eastman Chemical Co0.00%$398.68K
S&P Global Inc0.00%$339.79K
Lowe's Cos Inc0.00%$328.56K
Baker Hughes a GE Co0.00%$313.20K
Ralph Lauren Corp0.00%$322.31K
Boeing Co0.00%$374.76K
Ball Corp0.00%$300.41K
Concho Resources Inc0.00%$283.07K
Kansas City Southern0.00%$277.33K
Kroger Co0.00%$342.87K
Intuitive Surgical Inc0.00%$361.75K
QUALCOMM Inc0.00%$339.29K
United Technologies Corp0.00%$215.84K
Medtronic PLC0.00%$255.80K
Comerica Inc0.00%$209.85K
Marathon Petroleum Corp0.00%$256.12K
Marsh & McLennan Cos Inc0.00%$262.93K
BB&T Corp0.00%$271.28K
NIKE Inc0.00%$180.33K
PVH Corp0.00%$232.22K
Equifax Inc0.00%$231.54K
Bank of New York Mellon Corp/T0.00%$147.47K
Synopsys Inc0.00%$135.60K
ONEOK Inc0.00%$146.42K
Chipotle Mexican Grill Inc0.00%$94.13K
Estee Lauder Cos Inc0.00%$95.69K

C000117905 overview: performance, fees, allocation and SEC filings