Janus
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Ticker Symbol:
JAQDX
Fund Type:
  

Management Fee Evaluation


Class D shares

   
Data as of 03/31/2014
Top Holdings
% of Fund
 
Top Holdings as % of Portfolio
24.16%
No Data Available To Display.
Top Industries
% of Fund
Total
No Data Available To Display.
Capitalization Ranges of Equity Holdings
% of Fund
Over $100 Billion
15.26%
$50 Billion to $100 Billion
9.88%
$10 Billion to $50 Billion
34.95%
$5 Billion to $10 Billion
5.86%
$1 Billion to $5 Billion
19.65%
$500 Million to $1 Billion
3.98%
$250 Million to $500 Million
8.11%
$100 Million to $250 Million
1.72%
N/A
0.59%
Total
100.00%
Asset Allocation
% of Fund
Non-US Common Stock
96.23%
Non-US Preferred Stock
1.04%
Cash & Equivalents
2.73%
Total
100.00%
Regional Exposure
% of Fund
Asia/Pacific Ex Japan
95.45%
Japan
1.24%
Europe
0.58%
Cash & Equivalents
2.73%
Total
100.00%
Data as of 03/31/2014
Fund Characteristics
07/29/2011
JAQDX
$ 16.12M
11.83
16.78
1.71
$ 36.45
$ 15.75
90
0
85.84%
N/A
N/A
N/A
 
Annual Fees and Expenses as of 09/30/2013
(Performance-Based***)
0.91%
1.00%
1.91%
-0.72%
Total Net Expenses for Janus Asia Equity Fund
1.19%
Sales Charge
This is a no-load** share class
NONE

Net expense ratios reflect the expense waiver, if any, Janus Capital has contractually agreed to through 2/1/15.

Top 5 Contributors/Detractors as of 03/31/2014
Top 5 Contributors to Performance
Taiwan Semiconductor Manufacturing Co., Ltd.
DLF, Ltd.
Reliance Industries, Ltd.
Samsonite International SA
San Miguel Pure Foods Co., Inc.
Top 5 Detractors from Performance
Sitoy Group Holdings, Ltd.
CNOOC, Ltd.
Hana Financial Group, Inc.
SK Hynix, Inc.
Shun Tak Holdings, Ltd.
     
   

View holdings for Janus Cash Liquidity Fund.

This fund may have securities on loan as of the most recent month-end. The fund invests any cash collateral received in connection with loaned securities in Janus Cash Collateral Fund. View holdings for Janus Cash Collateral Fund.

Please consider the charges, risks, expenses and investment objectives carefully before investing. Please see a prospectus , or if available, a summary prospectus containing this and other information. Read it carefully before you invest or send money.

This Fund has a performance-based management fee that adjusts up or down based on the Fund's performance relative to an approved benchmark index over a performance measurement period. See the Fund's Prospectus or Statement of Additional Information for more details.

The expense ratios shown reflect estimated annualized expenses that the Fund expects to incur during its initial fiscal year.

A Fund's performance may be affected by risks that include those associated with nondiversification, non-investment grade debt securities, high-yield/high-risk securities, undervalued or overlooked companies, investments in specific industries or countries and potential conflicts of interest. Additional risks to a Fund may also include, but are not limited to, those associated with investing in foreign securities, emerging markets, initial public offerings, real estate investment trusts (REITs), derivatives, short sales, commodity-linked investments and companies with relatively small market capitalizations. Each Fund has different risks. Please see a Janus prospectus for more information about risks, Fund holdings and other details.

Foreign securities have additional risks including exchange rate changes, political and economic upheaval, the relative lack of information, relatively low market liquidity and the potential lack of strict financial and accounting controls and standards. These risks are magnified in emerging markets. The prices of foreign securities held by the fund, and therefore a fund's performance, may decline in response to such risks.

This fund may have significant exposure to emerging markets. In general, emerging market investments have historically been subject to significant gains and/or losses. As such, the Fund's returns and NAV may be subject to volatility.

Janus Capital Singapore Pte. Limited is an indirect subsidiary of Janus Capital Group Inc. and serves as the sub-adviser on certain products.

The Fund will normally invest at least 80% of its net assets, measured at the time of purchase, in the type of securities described by its name.

Past performance is no guarantee of future results.

Holdings are subject to change without notice.

** Other fees and expenses apply to a continued investment in the Fund and are described in the Fund's current prospectus.

A Fund's portfolio may differ significantly from the securities held in the index. An index is unmanaged and not available for direct investment; therefore its performance does not reflect the expenses associated with the active management of an actual portfolio.

Important Characteristic and Risk Definitions.

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Janus Distributors LLC