INTEGRA LIFESCIENCES HLDGS C

Ticker: IART CUSIP: 457985208 Class: COM NEW

JANUS HENDERSON GROUP PLC's Holding History (CIK: 0001274173)

Note: Option positions (PUT/CALL) are excluded.

Q4 2025
Shares 33,756 Value ($000) $419 Avg Close $13.29 Range $10.87 - $16.49
Q3 2025
Shares 33,756 Value ($000) $484 Avg Close $13.70 Range $11.08 - $16.28
Q2 2025
Shares 33,756 Value ($000) $414 Avg Close $14.52 Range $11.06 - $21.95
Q1 2025
Shares 33,756 Value ($000) $731 Avg Close $23.51 Range $21.09 - $27.13
Q4 2024
Shares 33,756 Value ($000) $766 Avg Close $21.83 Range $16.81 - $26.96
Q3 2024
Shares 33,756 Value ($000) $613 Avg Close $23.18 Range $16.96 - $32.66
Q2 2024
Shares 33,756 Value ($000) $982 Avg Close $29.66 Range $22.36 - $35.45
Q1 2024
Shares 34,105 Value ($000) $1,208 Avg Close $40.00 Range $33.24 - $45.42
Q4 2023
Shares 34,105 Value ($000) $1,486 Avg Close $39.35 Range $33.44 - $45.11
Q3 2023
Shares 34,168 Value ($000) $1,305 Avg Close $42.07 Range $37.42 - $46.75
Q2 2023
Shares 34,176 Value ($000) $1,405 Avg Close $48.13 Range $37.36 - $59.33
Q1 2023
Shares 1,704,087 Value ($000) $97,830 Avg Close $56.35 Range $52.13 - $60.69
Q4 2022
Shares 2,638,059 Value ($000) $147,916 Avg Close $50.90 Range $40.67 - $59.68
Q3 2022
Shares 3,172,538 Value ($000) $134,389 Avg Close $51.24 Range $41.87 - $57.80
Q2 2022
Shares 3,280,148 Value ($000) $177,227 Avg Close $60.06 Range $53.57 - $66.59
Q1 2022
Shares 3,282,892 Value ($000) $210,960 Avg Close $65.84 Range $61.50 - $69.90
Q4 2021
Shares 3,748,284 Value ($000) $251,097 Avg Close $67.65 Range $61.85 - $74.98
Q3 2021
Shares 4,143,725 Value ($000) $283,762 Avg Close $70.65 Range $64.58 - $76.70
Q2 2021
Shares 4,643,069 Value ($000) $316,843 Avg Close $70.72 Range $65.32 - $77.40
Q1 2021
Shares 4,657,163 Value ($000) $321,763 Avg Close $67.75 Range $62.35 - $71.34
Q4 2020
Shares 4,622,163 Value ($000) $300,071 Avg Close $53.81 Range $42.12 - $67.29
Q3 2020
Shares 4,049,872 Value ($000) $191,235 Avg Close $47.57 Range $42.95 - $53.10
Q2 2020
Shares 4,195,186 Value ($000) $197,132 Avg Close $49.15 Range $40.85 - $56.27
Q1 2020
Shares 4,305,926 Value ($000) $192,346 Avg Close $52.48 Range $34.21 - $61.72
Q4 2019
Shares 4,312,847 Value ($000) $251,353 Avg Close $59.53 Range $54.71 - $63.23
Q3 2019
Shares 3,226,462 Value ($000) $193,814 Avg Close $59.58 Range $52.01 - $65.09
Q2 2019
Shares 3,248,870 Value ($000) $181,449 Avg Close $51.50 Range $46.07 - $56.29
Q1 2019
Shares 2,873,324 Value ($000) $160,102 Avg Close $50.93 Range $42.14 - $57.62
Q4 2018
Shares 2,184,563 Value ($000) $98,524 Avg Close $54.87 Range $42.33 - $65.87
Q3 2018
Shares 2,009,131 Value ($000) $132,341 Avg Close $62.14 Range $55.09 - $66.41
Q2 2018
Shares 1,966,341 Value ($000) $126,652 Avg Close $61.92 Range $53.43 - $67.50
Q1 2018
Shares 1,601,087 Value ($000) $88,604 Avg Close $52.42 Range $45.96 - $58.17
Q4 2017
Shares 1,603,752 Value ($000) $76,756 Avg Close $48.95 Range $41.51 - $53.07
Q3 2017
Shares 2,035,288 Value ($000) $102,741 Avg Close $51.36 Range $47.41 - $56.42
Q2 2017
Shares 2,055,913 Value ($000) $112,068 Avg Close $47.75 Range $40.51 - $54.74