2017 Janus Investment Funds – Monthly Per Share ...

2017 Janus Investment Funds ? Monthly Per Share Distribution Amounts

Janus Henderson Global Income Managed Volatility Fund, Janus Henderson Value Plus Income Fund and Janus Henderson Strategic Income Fund distributed their monthly dividends on December 29, 2017. Record date is December 28, 2017. Payable and reinvestment date is December 29, 2017.

CUSIP

Ticker

Fund

Dividend and Distribution Information 12/29/2017

Investment Income 12/29/2017 Monthly

47103C159 47103C142 47103C134 47103C126 47103E163 47103C118 47103E247

JGDAX JGDCX JGDDX JGDIX JGGNX JGDSX JDGTX

Global Income Managed Volatility Fund ? A Shares Global Income Managed Volatility Fund ? C Shares Global Income Managed Volatility Fund ? D Shares Global Income Managed Volatility Fund ? I Shares Global Income Managed Volatility Fund ? N Shares Global Income Managed Volatility Fund ? S Shares Global Income Managed Volatility Fund ? T Shares

0.0440 Per Share 0.0368 Per Share 0.0468 Per Share 0.0479 Per Share 0.0482 Per Share 0.0430 Per Share 0.0456 Per Share

47103E627 47103E619 47103E593 47103E585 47103D710 47103E577 47103E569

47103Y862 47103Y854 47103Y847 47103Y839 47103Y821 47103Y789 47103Y771

JPVAX JPVCX JPVDX JPVIX JPVNX JPVSX JPVTX

HFAAX HFACX HFADX HFAIX HFARX HFASX HFATX

Value Plus Income Fund ? A Shares Value Plus Income Fund ? C Shares Value Plus Income Fund ? D Shares Value Plus Income Fund ? I Shares Value Plus Income Fund ? N Shares Value Plus Income Fund ? S Shares Value Plus Income Fund ? T Shares

Strategic Income Fund ? A Shares Strategic Income Fund ? C Shares Strategic Income Fund ? D Shares Strategic Income Fund ? I Shares Strategic Income Fund ? N Shares Strategic Income Fund ? S Shares Strategic Income Fund ? T Shares

0.0209 Per Share 0.0141 Per Share 0.0221 Per Share 0.0225 Per Share 0.0233 Per Share 0.0188 Per Share 0.0210 Per Share

0.0174 Per Share 0.0122 Per Share 0.0195 Per Share 0.0194 Per Share 0.0198 Per Share 0.0161 Per Share 0.0186 Per Share

Please consider the charges, risks, expenses and investment objectives carefully before investing. For a prospectus or, if available, a summary prospectus containing this and other information, please call Janus Henderson at 800.668.0434 (or 800.525.3713 if you hold shares directly with Janus Henderson). You can also visit info (or reports if you hold shares directly with Janus Henderson). Read it carefully before you invest or send money.

Performance may be affected by risks that include those associated with non-diversification, portfolio turnover, short sales, potential conflicts of interest, foreign and emerging markets, initial public offerings (IPOs), high-yield and high-risk securities, undervalued, overlooked and smaller capitalization companies, real estate related securities including Real Estate Investment Trusts (REITs), derivatives, and commodity-linked investments. Each product has different risks. Please see the prospectus for more information about risks, holdings and other details.

Janus Henderson, Janus, Henderson, Perkins, INTECH and Henderson Geneva are trademarks or registered trademarks of Janus Henderson Investors. ? Janus Henderson Investors. The name Janus Henderson Investors includes HGI Group Limited, Henderson Global Investors (Brand Management) Sarl and Janus International Holding LLC.

Janus Henderson Distributors

C-0617-11129 06-30-18

225-45-411129 12-17

2017 Janus Investment Funds ? Monthly Per Share Distribution Amounts

Janus Henderson Global Income Managed Volatility Fund, Janus Henderson Value Plus Income Fund and Janus Henderson Strategic Income Fund distributed their monthly dividends on November 30, 2017. Record date is November 29, 2017. Payable and reinvestment date is November 30, 2017.

CUSIP

Ticker

Fund

Dividend and Distribution Information 11/30/2017

Investment Income 11/30/2017 Monthly

47103C159 47103C142 47103C134 47103C126 47103E163 47103C118 47103E247

JGDAX JGDCX JGDDX JGDIX JGGNX JGDSX JDGTX

Global Income Managed Volatility Fund ? A Shares Global Income Managed Volatility Fund ? C Shares Global Income Managed Volatility Fund ? D Shares Global Income Managed Volatility Fund ? I Shares Global Income Managed Volatility Fund ? N Shares Global Income Managed Volatility Fund ? S Shares Global Income Managed Volatility Fund ? T Shares

0.0509 Per Share 0.0419 Per Share 0.0539 Per Share 0.0545 Per Share 0.0557 Per Share 0.0496 Per Share 0.0526 Per Share

47103E627 47103E619 47103E593 47103E585 47103D710 47103E577 47103E569

JPVAX JPVCX JPVDX JPVIX JPVNX JPVSX JPVTX

Value Plus Income Fund ? A Shares Value Plus Income Fund ? C Shares Value Plus Income Fund ? D Shares Value Plus Income Fund ? I Shares Value Plus Income Fund ? N Shares Value Plus Income Fund ? S Shares Value Plus Income Fund ? T Shares

0.0211 Per Share 0.0127 Per Share 0.0225 Per Share 0.0232 Per Share 0.0240 Per Share 0.0186 Per Share 0.0213 Per Share

47103Y862 47103Y854 47103Y847 47103Y839 47103Y821 47103Y789 47103Y771

HFAAX HFACX HFADX HFAIX HFARX HFASX HFATX

Strategic Income Fund ? A Shares Strategic Income Fund ? C Shares Strategic Income Fund ? D Shares Strategic Income Fund ? I Shares Strategic Income Fund ? N Shares Strategic Income Fund ? S Shares Strategic Income Fund ? T Shares

0.0168 Per Share 0.0110 Per Share 0.0185 Per Share 0.0191 Per Share 0.0199 Per Share 0.0154 Per Share 0.0179 Per Share

Please consider the charges, risks, expenses and investment objectives carefully before investing. For a prospectus or, if available, a summary prospectus containing this and other information, please call Janus Henderson at 800.668.0434 (or 800.525.3713 if you hold shares directly with Janus Henderson). You can also visit info (or reports if you hold shares directly with Janus Henderson). Read it carefully before you invest or send money.

Performance may be affected by risks that include those associated with non-diversification, portfolio turnover, short sales, potential conflicts of interest, foreign and emerging markets, initial public offerings (IPOs), high-yield and high-risk securities, undervalued, overlooked and smaller capitalization companies, real estate related securities including Real Estate Investment Trusts (REITs), derivatives, and commodity-linked investments. Each product has different risks. Please see the prospectus for more information about risks, holdings and other details.

Janus Henderson, Janus, Henderson, Perkins, INTECH and Henderson Geneva are trademarks or registered trademarks of Janus Henderson Investors. ? Janus Henderson Investors. The name Janus Henderson Investors includes HGI Group Limited, Henderson Global Investors (Brand Management) Sarl and Janus International Holding LLC.

Janus Henderson Distributors

C-0617-11129 06-30-18

225-45-411129 11-17

2017 Janus Investment Funds ? Monthly Per Share Distribution Amounts

Janus Henderson Global Income Managed Volatility Fund, Janus Henderson Value Plus Income Fund and Janus Henderson Strategic Income Fund distributed their monthly dividends on October 31, 2017. Record date is October 30, 2017. Payable and reinvestment date is October 31, 2017.

CUSIP

Ticker

Fund

Dividend and Distribution Information 10/31/2017

Investment Income 10/31/2017 Monthly

47103C159 47103C142 47103C134 47103C126 47103E163 47103C118 47103E247

JGDAX JGDCX JGDDX JGDIX JGGNX JGDSX JDGTX

Global Income Managed Volatility Fund ? A Shares Global Income Managed Volatility Fund ? C Shares Global Income Managed Volatility Fund ? D Shares Global Income Managed Volatility Fund ? I Shares Global Income Managed Volatility Fund ? N Shares Global Income Managed Volatility Fund ? S Shares Global Income Managed Volatility Fund ? T Shares

0.0537 Per Share 0.0480 Per Share 0.0556 Per Share 0.0562 Per Share 0.0566 Per Share 0.0546 Per Share 0.0548 Per Share

47103E627 47103E619 47103E593 47103E585 47103D710 47103E577 47103E569

JPVAX JPVCX JPVDX JPVIX JPVNX JPVSX JPVTX

Value Plus Income Fund ? A Shares Value Plus Income Fund ? C Shares Value Plus Income Fund ? D Shares Value Plus Income Fund ? I Shares Value Plus Income Fund ? N Shares Value Plus Income Fund ? S Shares Value Plus Income Fund ? T Shares

0.0210 Per Share 0.0137 Per Share 0.0223 Per Share 0.0231 Per Share 0.0223 Per Share 0.0225 Per Share 0.0218 Per Share

47103Y862 47103Y854 47103Y847 47103Y839 47103Y821 47103Y789 47103Y771

HFAAX HFACX HFADX HFAIX HFARX HFASX HFATX

Strategic Income Fund ? A Shares Strategic Income Fund ? C Shares Strategic Income Fund ? D Shares Strategic Income Fund ? I Shares Strategic Income Fund ? N Shares Strategic Income Fund ? S Shares Strategic Income Fund ? T Shares

0.0210 Per Share 0.0155 Per Share 0.0225 Per Share 0.0228 Per Share 0.0236 Per Share 0.0223 Per Share 0.0219 Per Share

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