|
Class
A
Shares
Ticker |
Class
C
Shares
Ticker |
Class
D
Shares
Ticker |
Class
I
Shares
Ticker |
Class
N
Shares
Ticker |
Class
R
Shares
Ticker |
Class
S
Shares
Ticker |
Class
T
Shares
Ticker |
Fixed
Income |
||||||||
Janus
Henderson Absolute Return Income Opportunities
Fund |
JUCAX |
JUCCX |
JUCDX |
JUCIX |
JUCNX |
JUCRX |
JUCSX |
JUCTX |
Janus
Henderson Developed World Bond Fund |
HFAAX |
HFACX |
HFADX |
HFAIX |
HFARX |
N/A |
HFASX |
HFATX |
Janus
Henderson Flexible Bond Fund |
JDFAX |
JFICX |
JANFX |
JFLEX |
JDFNX |
JDFRX |
JADFX |
JAFIX |
Janus
Henderson Global Bond Fund |
JGBAX |
JGBCX |
JGBDX |
JGBIX |
JGLNX |
N/A |
JGBSX |
JHBTX |
Janus
Henderson High-Yield Fund |
JHYAX |
JDHCX |
JNHYX |
JHYFX |
JHYNX |
JHYRX |
JDHYX |
JAHYX |
Janus
Henderson Multi-Sector Income Fund |
JMUAX |
JMUCX |
JMUDX |
JMUIX |
JMTNX |
N/A |
JMUSX |
JMUTX |
Janus
Henderson Short Duration Flexible Bond Fund |
JSHAX |
JSHCX |
JNSTX |
JSHIX |
JSHNX |
N/A |
JSHSX |
JASBX |
Multi-Asset |
||||||||
Janus
Henderson Adaptive Global Allocation Fund |
JAGAX |
JAVCX |
JAGDX |
JVGIX |
JAGNX |
N/A |
JAGSX |
JVGTX |
Equity |
||||||||
Janus
Henderson Adaptive Risk Managed U.S. Equity Fund |
JRSAX |
JRSCX |
JRSDX |
JRSIX |
JRSNX |
N/A |
JRSSX |
JRSTX |
(formerly
named Janus Henderson U.S. Managed
Volatility
Fund) |
||||||||
Janus
Henderson Mid Cap Value Fund |
JDPAX |
JMVCX |
JNMCX |
JMVAX |
JDPNX |
JDPRX |
JMVIX |
JMCVX |
Janus
Henderson Responsible International Dividend
Fund |
HDAVX |
HDCVX |
HDDVX |
HDIVX |
HDRVX |
N/A |
HDQVX |
HDTVX |
(formerly
named Janus Henderson Dividend & Income
Builder
Fund) |
|
|
|
|
|
|
|
|
Janus
Henderson Small Cap Value Fund‡ |
JDSAX |
JCSCX |
JNPSX |
JSCOX |
JDSNX |
JDSRX |
JISCX |
JSCVX |
Janus
Henderson Small-Mid Cap Value Fund |
JVSAX |
JVSCX |
JSVDX |
JVSIX |
JVSNX |
N/A |
JSVSX |
JSVTX |
Janus
Investment Fund |
Classification |
Adviser |
Investment
Policies and Restrictions Applicable to all
Funds |
Investment
Strategies and Risks |
Portfolio
Turnover |
Fund
Name |
Portfolio
Turnover Rate for
the
fiscal year ended
June
30, 2022 |
Portfolio
Turnover Rate for
the
fiscal year ended
June
30, 2021 |
Fixed
Income |
|
|
Janus
Henderson Absolute Return Income Opportunities Fund |
69% |
47% |
Janus
Henderson Developed World Bond Fund |
86% |
37% |
Janus
Henderson Flexible Bond Fund |
158% |
132% |
Janus
Henderson Global Bond Fund |
41% |
63% |
Janus
Henderson High-Yield Fund |
81% |
120% |
Janus
Henderson Multi-Sector Income Fund |
75% |
119% |
Janus
Henderson Short Duration Flexible Bond Fund |
94% |
112% |
Multi-Asset |
|
|
Janus
Henderson Adaptive Global Allocation Fund |
297% |
414% |
Equity |
|
|
Janus
Henderson Adaptive Risk Managed U.S. Equity Fund |
152% |
190% |
Janus
Henderson Mid Cap Value Fund |
52% |
46% |
Janus
Henderson Responsible International Dividend Fund |
34% |
52% |
Janus
Henderson Small Cap Value Fund |
44% |
53% |
Janus
Henderson Small-Mid Cap Value Fund |
80% |
99% |
Portfolio
Holdings Disclosure Policies and
Procedures |
Name |
Frequency |
Lag
Time |
Acuity
Knowledge Partners (UK) Limited |
As
needed |
1
day or more |
Adviser
Compliance Associates, LLC |
As
needed |
Current |
Alpha
Financial Markets Consulting |
Monthly |
Current |
Barclays
Risk Analytics and Index Solutions Limited |
Daily |
Current |
Barra,
Inc. |
Daily |
Current |
Bloomberg
Finance L.P. |
Daily |
Current |
Boston
Financial Data Services, Inc. |
As
needed |
Current |
BNP
Paribas Fund Services LLC |
Daily |
Current |
BNP
Paribas New York Branch |
Daily |
Current |
BNP
Paribas Prime Brokerage, Inc. |
Daily |
Current
|
Name |
Frequency |
Lag
Time |
BNP
Paribas Securities Services |
Daily |
Current |
BNP
Securities Corp. |
Daily |
Current |
Brown
Brothers Harriman & Co. |
Daily |
Current |
Callan
Associates Inc. |
As
needed |
Current |
Charles
River Brokerage, LLC |
As
needed |
Current |
Charles
River Systems, Inc. |
As
needed |
Current |
Charles
Schwab & Co., Inc. |
As
needed |
Current |
Command
Financial Press Corporation |
As
needed |
2
days |
Deloitte
& Touche LLP |
As
needed |
Current |
Deloitte
Tax LLP |
As
needed |
Current |
DTCC
Loan/SERV LLC |
Daily |
Current |
Eagle
Investment Systems LLC |
As
needed |
Current |
Envestnet
Asset Management Inc. |
As
needed |
Current |
Ernst
& Young Global Limited |
Semiannually |
1-2
days |
Ernst
& Young LLP |
As
needed |
Current |
FactSet
Research Systems, Inc. |
As
needed |
Current |
Fintech
SISU LLC |
Daily |
Current |
FIS
Financial Systems LLC – Wall Street Concepts (WSC) |
As
needed |
Current |
FlexTrade
LLC |
Daily |
Current |
Frank
Russell Company |
As
needed |
Current |
HedgeFacts |
Weekly |
7
days |
HeterMedia
Services Limited |
Monthly |
Current |
IHS
Markit |
Daily |
Current |
Infotech
Consulting Inc. |
Daily |
Current |
Institutional
Shareholder Services, Inc. |
Daily |
Current |
Interactive
Data (Europe) Limited |
Quarterly |
10
days |
Interactive
Data Pricing and Reference Data LLC |
Daily |
Current |
International
Data Corporation |
Daily |
Current |
Investment
Technology Group, Inc. |
Daily |
Current |
JPMorgan
Chase Bank, National Association |
Daily |
Current |
KPMG
LLP |
As
needed |
Current |
LendAmend
LLC |
As
needed |
Current |
Markit
EDM Limited |
Daily |
Current |
Markit
Group Limited |
Daily |
Current |
Merrill
Communications LLC |
Quarterly |
Current |
Moody’s
Investors Service Inc. |
Weekly |
7
days or more |
Morningstar,
Inc. |
As
needed |
30
days |
Nasdaq
Inc. |
Daily |
Current |
PricewaterhouseCoopers
LLP |
As
needed |
Current |
Prima
Capital Holding, Inc. |
As
needed |
Current |
Prima
Capital Management, Inc. |
Quarterly |
15
days |
RR
Donnelley and Sons Company |
Daily |
Current |
Russell/Mellon
Analytical Services, LLC |
Monthly |
Current |
SimCorp
USA, Inc. |
As
needed |
Current |
SS&C
Technologies, Inc. |
As
needed |
Current |
Standard
& Poor’s |
Daily |
Current |
Standard
& Poor’s Financial Services |
Weekly |
2
days or more |
Standard
& Poor’s Securities Evaluation |
Daily |
Current |
The
Ohio National Life Insurance Company |
As
needed |
Current
|
Name |
Frequency |
Lag
Time |
Thomson
Reuters (Markets) LLC |
Daily |
Current |
Tower
Investment |
As
needed |
30
days |
TradingScreen
Inc. |
As
needed |
Current |
TriOptima
AB |
Daily |
Current |
Wachovia
Securities LLC |
As
needed |
Current |
Wilshire
Associates Incorporated |
As
needed |
Current |
Wolters
Kluwer Financial Services, Inc. |
Monthly |
30
days |
Zephyr
Associates, Inc. |
Quarterly |
Current |
Investment
Adviser – Janus Henderson Investors US
LLC |
Fund
Name |
Average
Daily Net
Assets
of the Fund |
Contractual
Investment
Advisory
Fees/Base
Fees (%)
(annual
rate) |
Fixed
Income |
|
|
Janus
Henderson Absolute Return Income Opportunities Fund |
First $1
Billion
Next $2
Billion
Over $3
Billion |
0.65
0.62
0.60 |
Janus
Henderson Developed World Bond Fund |
First $1
Billion
Next $500
Million
Over $1.5
Billion |
0.55
0.50
0.45 |
Janus
Henderson Flexible Bond Fund |
First $300
Million
Over $300
Million |
0.50
0.40 |
Janus
Henderson Global Bond Fund |
First $1
Billion
Next $1
Billion
Over $2
Billion |
0.60
0.55
0.50 |
Janus
Henderson High-Yield Fund |
First $300
Million
Over $300
Million |
0.65
0.55 |
Janus
Henderson Multi-Sector Income Fund |
First $200
Million
Next $500
Million
Over $700
Million |
0.60
0.57
0.55 |
Janus
Henderson Short Duration Flexible Bond Fund |
All Asset
Levels |
0.44 |
Multi-Asset |
|
|
Janus
Henderson Adaptive Global Allocation Fund |
First $2
Billion
Next $2
Billion
Over $4
Billion |
0.75
0.72
0.70 |
Equity |
|
|
Janus
Henderson Adaptive Risk Managed U.S. Equity Fund |
All Asset
Levels |
0.50 |
Janus
Henderson Mid Cap Value Fund |
N/A |
0.64 |
Janus
Henderson Responsible International Dividend Fund |
First $1
Billion
Next $1
Billion
Over $2
Billion |
0.75
0.65
0.55 |
Janus
Henderson Small Cap Value Fund |
N/A |
0.72 |
Janus
Henderson Small-Mid Cap Value Fund |
N/A |
0.70 |
Performance-Based
Investment Advisory Fee |
Fund
Name |
Effective
Date of
Performance
Fee
Arrangement |
Effective
Date of
First
Adjustment
to
Advisory Fee |
Janus
Henderson Mid Cap Value Fund |
02/01/06 |
02/01/07 |
Janus
Henderson Small Cap Value Fund |
01/01/09 |
01/01/10 |
Janus
Henderson Small-Mid Cap Value Fund |
01/01/12 |
01/01/13 |
Fund
Name |
Benchmark
Index |
Base
Fee Rate (%)
(annual
rate) |
Janus
Henderson Mid Cap Value Fund |
Russell
Midcap®
Value Index(1)
|
0.64 |
Janus
Henderson Small Cap Value Fund |
Russell
2000®
Value Index(2)
|
0.72 |
Janus
Henderson Small-Mid Cap Value Fund |
Russell
2500tm
Value Index(3)
|
0.70 |
Fund
Name |
Net
Assets |
Janus
Henderson Mid Cap Value Fund |
$2,056,422,454 |
Janus
Henderson Small Cap Value Fund |
$2,705,089,917 |
Janus
Henderson Small-Mid Cap Value Fund |
$117,131,504 |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.64% |
1/12th
of 0.15% |
1/12th
of 0.79% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.64% |
0.00 |
1/12th
of 0.64% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.64% |
1/12th
of -0.15% |
1/12th
of 0.49% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.72% |
1/12th
of 0.15% |
1/12th
of 0.87% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.72% |
0.00 |
1/12th
of 0.72% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.72% |
1/12th
of -0.15% |
1/12th
of 0.57% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.70% |
1/12th
of 0.15% |
1/12th
of 0.85% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.70% |
0.00 |
1/12th
of 0.70% |
Base
Fee Rate |
Performance
Adjustment Rate |
Total
Advisory Fee Rate
for
that Month |
1/12th
of 0.70% |
1/12th
of -0.15% |
1/12th
of 0.55% |
Expense
Limitations |
Fund
Name |
Expense
Limit
Percentage
(%) |
Fixed
Income |
|
Janus
Henderson Absolute Return Income Opportunities Fund |
0.63 |
Janus
Henderson Developed World Bond Fund |
0.57 |
Janus
Henderson Flexible Bond Fund |
0.45 |
Janus
Henderson Global Bond Fund |
0.59 |
Janus
Henderson High-Yield Fund |
0.63 |
Janus
Henderson Multi-Sector Income Fund |
0.64 |
Janus
Henderson Short Duration Flexible Bond Fund |
0.39 |
Multi-Asset |
|
Janus
Henderson Adaptive Global Allocation Fund |
0.66 |
Equity |
|
Janus
Henderson Adaptive Risk Managed U.S. Equity Fund |
0.65 |
Janus
Henderson Mid Cap Value Fund |
0.83(1) |
Janus
Henderson Responsible International Dividend Fund |
0.84 |
Janus
Henderson Small Cap Value Fund |
0.91(1) |
Janus
Henderson Small-Mid Cap Value Fund |
0.82(1) |
|
2022 |
2021 |
2020 | |||
Fund
Name |
Advisory
Fees |
Waivers(–) |
Advisory
Fees |
Waivers(–) |
Advisory
Fees |
Waivers(–) |
Fixed
Income |
|
|
|
|
|
|
Janus
Henderson Absolute Return Income
Opportunities
Fund |
$484,030 |
– $303,613 |
$645,889 |
– $317,520 |
$743,755 |
– $334,039 |
Janus
Henderson Developed World Bond
Fund |
$13,222,461 |
– $1,567,269 |
$10,708,838 |
– $3,701 |
$7,721,881 |
– $142,378 |
Janus
Henderson Flexible Bond Fund |
$14,893,944 |
– $813,725 |
$15,975,756 |
$— |
$16,048,278 |
– $2,090 |
Janus
Henderson Global Bond Fund |
$1,428,293 |
– $318,888 |
$1,487,405 |
– $385,385 |
$1,237,796 |
– $317,772 |
Janus
Henderson High-Yield Fund |
$6,584,803 |
– $14,992 |
$6,597,719 |
– $11,782 |
$6,948,081 |
– $3,641 |
Janus
Henderson Multi-Sector Income Fund |
$18,627,845 |
– $2,588 |
$14,912,493 |
– $2,606 |
$11,113,013 |
– $2,751 |
Janus
Henderson Short Duration Flexible
Bond
Fund |
$5,123,243 |
– $1,130,683 |
$5,128,139 |
– $526,609 |
$5,126,385 |
– $569,727 |
Multi-Asset |
|
|
|
|
|
|
Janus
Henderson Adaptive Global Allocation
Fund |
$413,101 |
– $323,885 |
$404,071 |
– $338,801 |
$445,808 |
– $315,157 |
Equity |
|
|
|
|
|
|
Janus
Henderson Adaptive Risk Managed
U.S.
Equity Fund |
$5,139,362 |
– $17,800 |
$5,602,769 |
$— |
$6,686,096 |
$— |
Janus
Henderson Mid Cap Value Fund |
$12,666,677 |
$— |
$13,146,189 |
$— |
$21,523,798 |
$— |
Janus
Henderson Responsible International
Dividend
Fund |
$1,182,640 |
– $157,064 |
$1,220,042 |
– $146,226 |
$1,242,243 |
– $167,989 |
Janus
Henderson Small Cap Value Fund |
$20,442,224 |
$— |
$23,425,022 |
$— |
$27,258,560 |
$— |
Janus
Henderson Small-Mid Cap Value Fund |
$852,287 |
– $108,391 |
$587,402 |
– $159,090 |
$474,454 |
– $178,104 |
Payments
to Financial Intermediaries By the Adviser or Its
Affiliates |
Additional
Information About the Adviser |
Proxy
Voting Policy and Procedures |
JANUS
HENDERSON INVESTORS US LLC
PROXY
VOTING SUMMARY |
Average
Daily Net Assets of Class D Shares of the Janus Henderson
funds |
Administrative
Services Fee |
Under
$40 billion |
0.12% |
$40
billion - $49.9 billion |
0.10% |
Over
$49.9 billion |
0.08% |
|
2022 |
2021 |
2020 |
Fund
Name |
Administrative
Services
Fees |
Administrative
Services
Fees |
Administrative
Services
Fees |
Fixed
Income |
|
|
|
Janus
Henderson Absolute Return Income Opportunities Fund |
|
|
|
Class
D Shares |
$17,585 |
$21,379 |
$15,818 |
Class
R Shares |
$1,287 |
$1,431 |
$2,153 |
Class
S Shares |
$471 |
$455 |
$373 |
Class
T Shares |
$22,402 |
$31,467 |
$47,535 |
Janus
Henderson Developed World Bond Fund |
|
|
|
Class
D Shares |
$40,569 |
$48,620 |
$25,746 |
Class
S Shares |
$1,535 |
$1,250 |
$502 |
Class
T Shares |
$266,078 |
$328,400 |
$266,797 |
Janus
Henderson Flexible Bond Fund |
|
|
|
Class
D Shares |
$655,265 |
$760,786 |
$684,984 |
Class
R Shares |
$61,574 |
$65,113 |
$64,407 |
Class
S Shares |
$43,253 |
$48,781 |
$58,015 |
Class
T Shares |
$1,191,692 |
$1,474,611 |
$1,513,748 |
Janus
Henderson Global Bond Fund |
|
|
|
Class
D Shares |
$18,447 |
$25,217 |
$15,626 |
Class
S Shares |
$147 |
$101 |
$221 |
Class
T Shares |
$15,364 |
$84,696 |
$16,376 |
Janus
Henderson High-Yield Fund |
|
|
|
Class
D Shares |
$375,081 |
$378,132 |
$400,562 |
Class
R Shares |
$18,584 |
$9,706 |
$3,844 |
Class
S Shares |
$4,861 |
$5,145 |
$4,227 |
Class
T Shares |
$877,466 |
$909,850 |
$1,027,334 |
Janus
Henderson Multi-Sector Income Fund |
|
|