2015 Janus Asset Allocation Funds Estimated Per Share Distribution


2015 Janus Asset Allocation Funds Estimated Per Share Distribution...

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2015 Janus Asset Allocation Funds Estimated Per Share Distribution Amounts The Janus Asset Allocation funds year-end distribution estimates to be paid in December 2015 are shown below. Please note that these estimates were prepared using income through December 4, 2015. The distribution amounts may change, perhaps significantly, for the following reasons: 1. The funds are required to distribute income earned through December 31, 2015. The dividend estimates include income through December 4th plus estimated income for December 5th through December 31st. Actual income from December 4th through December 31st may differ from the income estimated. 2. Record date is December 28th for these portfolios. This means that the total number of shares which will receive the distribution will change, perhaps significantly. The record date for the distribution is December 28, 2015 and the payable date is December 29, 2015. The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law. Estimates of the qualifying percentage are not yet available. Please consider the charges, risks, expenses and investment objectives carefully before investing. For a prospectus containing this and other information, please call Janus at 877.33JANUS (52687) (or 800.525.3713 if you hold shares directly with Janus Capital). You can also visit janus.com/info (or janus.com/reports if you hold shares directly with Janus Capital). Read it carefully before you invest or send money. Please note that Funds that have invested in real estate investment trusts (REITs) during the current tax year may potentially recharacterize some of their income distributions as return of capital. If applicable, the recharacterization may occur in February following the current tax year.

Janus Asset Allocation Funds Distribution Estimates As of 12/04/2015 Total Ordinary Income (1)

Total Capital Gain

Total Distribution as Distribution % of NAV

CUSIP

Ticker

Fund

47103A500 47103A609 47103E726 47103A708 47103A807 471023523

JGCAX JGCCX JNSGX JGCIX JGCSX JSPGX

Global Allocation Fund - Growth - Class A Shares Global Allocation Fund - Growth - Class C Shares Global Allocation Fund - Growth - Class D Shares Global Allocation Fund - Growth - Class I Shares Global Allocation Fund - Growth - Class S Shares Global Allocation Fund - Growth - Class T Shares

$0.14 $0.07 $0.16 $0.17 $0.12 $0.15

$1.14 $1.14 $1.14 $1.14 $1.14 $1.14

$1.28 $1.21 $1.30 $1.31 $1.26 $1.29

9.11% 8.77% 9.19% 9.26% 9.03% 9.14%

47103A880 47103A872 47103E718 47103A864 47103A856 471023515

JMOAX JMOCX JNSMX JMOIX JMOSX JSPMX

Global Allocation Fund - Moderate - Class A Shares Global Allocation Fund - Moderate - Class C Shares Global Allocation Fund - Moderate - Class D Shares Global Allocation Fund - Moderate - Class I Shares Global Allocation Fund - Moderate - Class S Shares Global Allocation Fund - Moderate - Class T Shares

$0.13 $0.07 $0.15 $0.16 $0.11 $0.15

$0.94 $0.94 $0.94 $0.94 $0.94 $0.94

$1.07 $1.01 $1.09 $1.10 $1.05 $1.09

8.11% 7.78% 8.21% 8.28% 8.02% 8.23%

47103A104 47103A203 47103E734 47103A302 47103A401 471023499

JCAAX JCACX JMSCX JCAIX JCASX JSPCX

Global Allocation Fund - Conservative - Class A Shares Global Allocation Fund - Conservative - Class C Shares Global Allocation Fund - Conservative - Class D Shares Global Allocation Fund - Conservative - Class I Shares Global Allocation Fund - Conservative - Class S Shares Global Allocation Fund - Conservative - Class T Shares

$0.11 $0.07 $0.14 $0.14 $0.09 $0.14

$0.64 $0.64 $0.64 $0.64 $0.64 $0.64

$0.75 $0.71 $0.78 $0.78 $0.73 $0.78

5.95% 5.73% 6.14% 6.14% 5.81% 6.15%

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments. Details of the sources of ordinary income will be provided in your year-end statement.

If you have additional questions, kindly contact us as follows: • • • •

Intermediary clients (financial institutions, B/D, financial advisors, etc.), please call your Janus representative at 1.877.33JANUS (52687). RIAs, please call your Janus Service Consultant at 1.888.544.4RIA (4742). Institutional clients, please call Janus Capital Group Institutional at 1.800.227.0486. Direct Janus shareholders please call 1.800.525.3713.

If you do not see your fund listed, contact your Janus representative.

Funds distributed by Janus Distributors LLC. (12/15)