Funds performance

fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
Janus Global High Yield I AUD Inc 0.62% 4.01% 13.40% 4.01% 16.36% 90754261 2014-03-31
Janus High Yield I AUD Inc 0.72% 3.99% 10.96% 3.99% 15.49% 1214926461 2014-03-31
Janus Global Investment Grade Bd I $ Acc 0.25% 3.00% 6.18% 3.00% 5.53% 56570410 2014-03-31
Janus Global Investment Grade Bd I € Acc 0.25% 3.03% 5.04% 3.03% 5.19% 41045227 2014-03-31
Janus Global Investment Grade Bd I $ Inc 0.25% 3.06% 6.20% 3.06% 5.53% 56570410 2014-03-31
Janus Global Investment Grade Bd I € Inc 0.24% 2.97% 5.70% 2.97% 5.39% 41045227 2014-03-31
Janus Global High Yield I EUR Acc 0.44% 3.43% 12.53% 3.43% 9.31% 61031088 2014-03-31
Janus Global High Yield I USD Acc 0.53% 3.48% 10.76% 3.48% 8.89% 84115839 2014-03-31
Janus Global High Yield I EUR Inc 0.51% 3.41% 13.78% 3.41% 9.57% 61031088 2014-03-31
Janus Global High Yield I USD Inc 0.52% 3.46% 10.78% 3.46% 8.88% 84115839 2014-03-31
Janus US Short-Term Bond I USD Acc 0.00% 0.59% 1.18% 0.59% 1.64% 708317826 2014-03-31
Janus US Short-Term Bond I CHF Inc -0.09% 0.42% 0.91% 0.42% 1.90% 625692552 2014-03-31
Janus US Short-Term Bond I GBP Inc -0.09% 0.53% 1.25% 0.53% 1.14% 424870282 2014-03-31
Janus Flexible Income I USD Acc -0.19% 1.93% 1.25% 1.93% 2.98% 1100107264 2014-03-31
Janus Asia I EUR Acc 1.96% -0.64% 0.64% -0.64% 4.64% 82755624 2014-03-31
Janus High Yield I RMB (CNH) Inc 0.64% 3.64% 10.03% 3.64% 11.59% 4294967295 2014-03-31
Janus Global Flexible Income I USD Inc 0.75% 3.78% 3.21% 3.78% 0.89% 11222379 2014-03-31
Janus Global Flexible Income I EUR Acc 0.81% 3.84% 2.88% 3.84% 0.07% 8142509 2014-03-31
Janus US Short-Term Bond I GBP Acc 0.00% 0.59% 0.99% 0.59% 1.26% 424870282 2014-03-31
Perkins US Strategic Value I € Unhdg Acc 2.49% 2.14% 7.86% 2.14% 12.52% 398142974 2014-03-31
INTECH Global Dividend I USD Acc 0.35% 2.33% 14.30% 2.33% 14.19% 89447044 2014-03-31
INTECH Global Dividend I USD Inc 0.29% 2.28% 14.26% 2.28% 14.14% 89447044 2014-03-31
INTECH Global Dividend I EUR Acc 0.26% 2.16% 13.60% 2.16% 13.49% 64899197 2014-03-31
INTECH Global Dividend I EUR Inc 0.29% 2.20% 13.64% 2.20% 13.53% 64899197 2014-03-31
Janus Asia I USD Acc 1.94% -0.63% 1.01% -0.63% 3.83% 114057588 2014-03-31
MS TCW Unconstrained Plus Bond A EUR Acc 0.17% 1.54% 0.00% 1.54% 1.81% 42222911 2014-03-31
Lazard Glbl Listed Infr Eq Instl £ Acc 1.46% 7.69% 0.00% 7.69% 24.96% 238316239 2014-03-31
Janus Selection Strategic Val I JPY 3.77% 0.24% 27.05% 0.24% 6.25% 4294967295 2014-03-31
Janus Selection Balanced I JPY 1.64% -0.69% 22.53% -0.69% 6.46% 4294967295 2014-03-31
Janus Selection Flexible Inc I JPY 1.24% -0.15% 10.73% -0.15% 4.62% 4294967295 2014-03-31

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