2015 Janus Estimated Per Share Distribution Amounts The Janus


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2015 Janus Estimated Per Share Distribution Amounts The Janus preliminary year-end distribution estimates to be paid in December 2015 are shown below. Please note that these estimates were prepared using income and capital gain amounts through September 1, 2015. The distribution amounts may change, perhaps significantly, for the following reasons: 1. The funds are required to distribute capital gains recognized through October 31, 2015. The funds may realize additional capital gains and losses during the period September 2nd through October 31st. 2. The funds are required to distribute income earned through December 31, 2015. The dividend estimates include income through September 1st. They do not include estimates of income during the period September 2nd through December 31st which will also be distributed in December 2015. 3. The total number of shares which will receive the distribution will change, perhaps significantly. The regular monthly dividend for the Janus Fixed Income Funds, the Perkins Value Plus Income Fund, and the INTECH Global Income Managed Volatility Fund will be paid on December 31, 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 Investment Fund (A Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E312 47103A187 47103C506 47103C878 47103C829 47103A674 47103C712 47103C654 471023317 47103C373 47103E429 47103E379 47103E551 471023481 47103C324 47103C548 471023358 47103A559 47103C480 47103A617 471023440 47103D629 47103D389 47103C159 47103A781 47103C100 47103A732 47103A310 47103C266 47103E239 47103C217 47103E627 47103D272 47103D694 47103C761 47103E486 47103C597 47103D546 471023267 47103D462 47103A252

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund * Venture Fund * Asia Equity Fund Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Real Return Fund

Record Date

Payable Date

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

A Shares Ordinary Income (1) $0.00 $0.00 $0.00 $0.00 $0.56 $0.15 $0.72 $0.00 $0.53 $0.00 $0.35 $0.05 $0.00 $2.09 $0.28 $0.06 $0.20 $0.14 $0.85 $0.07 $0.21 $0.11 $0.13 $0.03 $0.05 $0.00 $0.09 $0.13 $0.08 $0.06 $0.41 $0.00 $0.01 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

Capital Gain

Total Distribution

Distribution as % of NAV

$0.67 $0.81 $1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $3.08 $1.57 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.36 $3.29 $4.43 $3.73 $3.65 $3.61 $1.57 $2.77 $0.57 $0.00 $5.18 $0.28 $0.06 $1.60 $0.14 $0.85 $0.35 $0.51 $0.15 $0.13 $0.23 $0.05 $2.99 $0.09 $0.57 $3.00 $0.84 $2.38 $0.23 $0.01 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.13% 8.06% 4.66% 1.87% 3.90% 14.21% 10.25% 8.29% 8.51% 6.88% 4.45% 6.89% 0.00% 8.95% 0.45% 0.47% 7.78% 1.22% 3.03% 3.35% 3.89% 1.44% 1.41% 2.07% 0.67% 15.36% 1.04% 3.76% 15.95% 7.06% 11.48% 2.15% 0.11% 1.04% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

*

Closed to certain new investors.

Janus Investment Fund (C Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E296 47103A179 47103C605 47103C860 47103C811 47103A666 47103C696 47103C647 471023291 47103C365 47103E411 47103E361 47103E544 471023473 47103C316 47103C530 471023341 47103A542 47103C472 47103A591 471023432 47103D611 47103D371 47103C142 47103A773 47103C209 47103A724 47103A294 47103C258 47103E221 47103C191 47103E619 47103D264 47103D686 47103C753 47103E478 47103C589 47103D538 471023259 47103D454 47103A245

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund * Venture Fund * Asia Equity Fund Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund (4) Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Real Return Fund (1)

Record

Payable

C Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.67 $0.81 $1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $3.08 $1.57 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.36 $3.18 $4.43 $3.53 $3.65 $3.47 $1.57 $2.77 $0.57 $0.00 $5.18 $0.01 $0.00 $1.60 $0.06 $0.61 $0.35 $0.45 $0.08 $0.09 $0.23 $0.05 $2.99 $0.07 $0.55 $2.94 $0.78 $2.34 $0.23 $0.00 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.31% 8.34% 4.69% 1.95% 3.96% 15.92% 10.02% 8.36% 8.46% 7.22% 4.64% 6.90% 0.00% 9.42% 0.02% 0.00% 8.21% 0.53% 2.23% 3.38% 3.51% 0.77% 0.98% 2.08% 0.68% 15.52% 0.82% 3.68% 15.87% 6.63% 11.69% 2.14% 0.00% 1.05% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

(4)

Fund may make a distribution which is estimated to be less than $0.01/share.

*

$0.00 $0.00 $0.00 $0.00 $0.45 $0.15 $0.52 $0.00 $0.39 $0.00 $0.35 $0.05 $0.00 $2.09 $0.01 $0.00 $0.20 $0.06 $0.61 $0.07 $0.15 $0.04 $0.09 $0.03 $0.05 $0.00 $0.07 $0.11 $0.02 $0.00 $0.37 $0.00 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

Closed to certain new investors.

Janus Investment Fund (D Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E288 47103A161 47103E205 47103E304 47103E403 47103E601 47103E841 47103E759 47103E692 47103E684 47103E676 47103E353 47103E536 47103E700 47103E668 47103E783 47103E866 47103E825 47103E775 47103E882 47103E809 47103D595 47103D363 47103C134 47103D280 47103E106 47103D314 47103E635 47103E650 47103E213 47103E643 47103E593 47103D215 47103D678 47103E502 47103E460 47103E833 47103D520 47103E742 47103D447 47103E858 47103E791 47103A195

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund Twenty Fund Venture Fund Asia Equity Fund (4) Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund (4) Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Government Money Market Fund (3) Money Market Fund (3) Real Return Fund

Record

Payable

D Shares * Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.67 $0.81 $1.36 $0.36 $2.73 $3.01 $3.65 $3.08 $1.57 $6.07 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.38 $3.39 $3.79 $3.65 $3.64 $1.57 $6.81 $2.77 $0.57 $0.00 $5.18 $0.32 $0.07 $1.64 $0.18 $0.96 $0.35 $0.52 $0.17 $0.14 $0.23 $0.09 $3.00 $0.08 $0.59 $3.05 $0.86 $2.49 $0.23 $0.00 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.11% 8.00% 4.65% 1.96% 3.95% 10.33% 8.28% 8.52% 6.79% 12.32% 4.38% 6.86% 0.00% 8.84% 0.52% 0.56% 7.87% 1.57% 3.44% 3.32% 3.92% 1.63% 1.51% 2.08% 1.22% 15.39% 0.93% 3.91% 16.34% 7.21% 12.04% 2.14% 0.00% 1.04% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

$0.00 $0.00 $0.00 $0.02 $0.66 $0.78 $0.00 $0.56 $0.00 $0.74 $0.35 $0.05 $0.00 $2.09 $0.32 $0.07 $0.24 $0.18 $0.96 $0.07 $0.22 $0.13 $0.14 $0.03 $0.09 $0.01 $0.08 $0.15 $0.13 $0.08 $0.52 $0.00 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

(4)

Fund may make a distribution which is estimated to be less than $0.01/share.

*

Closed to certain new investors.

Janus Investment Fund (I Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E270 47103A153 47103C704 47103C852 47103C795 47103A658 47103C688 47103C639 471023283 47103C357 47103E395 47103E346 47103E528 471023465 47103C290 47103C522 471023333 47103A534 47103C464 47103A583 471023424 47103D587 47103D355 47103C126 47103A765 47103C308 47103A716 47103A286 47103C241 47103E197 47103C183 47103E585 47103D249 47103D660 47103C746 47103E452 47103C571 47103D512 471023242 47103D439 47103A229

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund * Venture Fund * Asia Equity Fund Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Real Return Fund

Record

Payable

I Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.67 $0.81 $1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $3.08 $1.57 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.39 $3.50 $4.43 $3.82 $3.65 $3.67 $1.57 $2.77 $0.57 $0.01 $5.18 $0.37 $0.09 $1.66 $0.18 $0.98 $0.35 $0.53 $0.18 $0.15 $0.23 $0.08 $3.02 $0.09 $0.59 $3.05 $0.86 $2.50 $0.23 $0.01 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.07% 7.97% 4.65% 2.01% 4.06% 13.97% 10.41% 8.27% 8.60% 6.76% 4.37% 6.84% 0.14% 8.83% 0.60% 0.71% 7.91% 1.57% 3.50% 3.32% 4.06% 1.73% 1.62% 2.07% 1.08% 15.48% 1.04% 3.90% 16.33% 7.21% 12.05% 2.14% 0.11% 1.03% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

$0.00 $0.00 $0.00 $0.03 $0.77 $0.15 $0.81 $0.00 $0.59 $0.00 $0.35 $0.05 $0.01 $2.09 $0.37 $0.09 $0.26 $0.18 $0.98 $0.07 $0.23 $0.14 $0.15 $0.03 $0.08 $0.03 $0.09 $0.15 $0.13 $0.08 $0.53 $0.00 $0.01 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

*

Closed to certain new investors.

Janus Investment Fund (L Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP

Fund

471023580 471023564

Perkins Mid Cap Value Fund * Perkins Small Cap Value Fund * (1) *

Record

Payable

L Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/18/2015 12/18/2015

12/21/2015 12/21/2015

$2.92 $1.97

$3.03 $2.52

16.01% 11.90%

$0.11 $0.55

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments. Closed to certain new investors.

Janus Investment Fund (N Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103D108 47103D405 47103D603 47103D702 47103D827 47103D793 47103D785 47103D843 47103D835 47103E148 47103E122 47103D769 47103D579 47103D751 47103D744 47103D728 47103D231 47103D652 47103D504 47103D801 47103D850 47103D496 47103D819 47103D421

Fund (2)

Balanced Fund Enterprise Fund Forty Fund Janus Fund Research Fund Triton Fund * Venture Fund * International Equity Fund Overseas Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Global Value Fund Perkins International Value Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Small Cap Value Fund (4) Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund

Record

Payable

N Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

$1.36 $2.73 $4.28 $3.01 $3.08 $1.57 $2.42 $0.00 $0.00 $2.99 $0.00 $0.30 $0.04 $0.44 $2.92 $1.97 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$1.36 $3.54 $4.43 $3.85 $3.69 $1.57 $2.77 $0.19 $1.02 $3.02 $0.09 $0.55 $0.18 $0.60 $3.07 $2.53 $0.00 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

4.65% 4.10% 13.96% 10.47% 8.64% 6.74% 4.35% 1.66% 3.65% 15.49% 1.04% 4.23% 1.73% 3.97% 16.46% 12.20% 0.00% 1.03% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.00 $0.81 $0.15 $0.84 $0.61 $0.00 $0.35 $0.19 $1.02 $0.03 $0.09 $0.25 $0.14 $0.16 $0.15 $0.56 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

(4)

Fund may make a distribution which is estimated to be less than $0.01/share.

*

Closed to certain new investors.

Janus Investment Fund (R Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103C803 47103C845 47103C787 47103A641 47103C670 47103C621 47103C340 47103C282 47103C514 47103A526 47103C456 47103C233 47103C175 47103C738 47103D298 47103C563

Fund (2)

Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Triton Fund * Global Research Fund Global Select Fund International Equity Fund Overseas Fund Perkins Mid Cap Value Fund * Perkins Small Cap Value Fund (3) Flexible Bond Fund (3) Global Unconstrained Bond Fund (3) High-Yield Fund

Record

Payable

R Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015

12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015

$1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $1.57 $0.00 $0.00 $0.00 $0.00 $2.92 $1.97 $0.00 $0.00 $0.00

$1.36 $0.36 $3.18 $4.43 $3.63 $3.65 $1.57 $0.15 $0.00 $0.11 $0.78 $2.96 $2.35 $0.00 $0.00 $0.00

4.68% 1.90% 3.85% 15.17% 10.09% 8.32% 7.00% 0.25% 0.00% 0.98% 2.83% 15.90% 11.54% 0.00% 0.00% 0.00%

$0.00 $0.00 $0.45 $0.15 $0.62 $0.00 $0.00 $0.15 $0.00 $0.11 $0.78 $0.04 $0.38 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

*

Closed to certain new investors.

Janus Investment Fund (S Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E262 47103A146 47103C886 47103C837 47103C779 47103A633 47103C662 47103C613 471023275 47103C332 47103E387 47103E338 47103E510 471023457 47103C274 47103C498 471023325 47103A518 47103C449 47103A575 471023416 47103D561 47103D330 47103C118 47103A757 47103C407 47103A690 47103A278 47103C225 47103E189 47103C167 47103E577 47103D256 47103D645 47103C720 47103E445 47103C555 47103D488 471023234 47103D413 47103A237

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund * Venture Fund * Asia Equity Fund Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Real Return Fund

Record

Payable

S Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.67 $0.81 $1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $3.08 $1.57 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.36 $3.22 $4.43 $3.67 $3.65 $3.51 $1.57 $2.77 $0.57 $0.00 $5.18 $0.17 $0.04 $1.60 $0.13 $0.83 $0.35 $0.49 $0.15 $0.12 $0.23 $0.07 $2.99 $0.08 $0.58 $2.99 $0.85 $2.40 $0.23 $0.01 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.16% 8.09% 4.66% 1.87% 3.83% 14.55% 10.02% 8.29% 8.34% 6.93% 4.47% 6.88% 0.00% 9.03% 0.27% 0.32% 7.85% 1.10% 2.99% 3.35% 3.69% 1.44% 1.30% 2.07% 0.93% 15.41% 0.92% 3.80% 15.91% 7.15% 11.68% 2.14% 0.11% 1.04% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

$0.00 $0.00 $0.00 $0.00 $0.49 $0.15 $0.66 $0.00 $0.43 $0.00 $0.35 $0.05 $0.00 $2.09 $0.17 $0.04 $0.20 $0.13 $0.83 $0.07 $0.19 $0.11 $0.12 $0.03 $0.07 $0.00 $0.08 $0.14 $0.07 $0.07 $0.43 $0.00 $0.01 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above.

(3)

Amounts do not include the normal monthly distribution payable on December 31, 2015.

*

Closed to certain new investors.

Janus Investment Fund (T Shares) Preliminary Distribution Estimates As of 9/1/2015

CUSIP 47103E254 47103A138 471023879 471023655 471023804 47103A625 471023101 471023200 471023853 471023549 471023408 471023507 47103E320 47103E494 471023671 471023309 471023648 471023663 47103A492 471023846 47103A567 471023622 47103D553 47103D322 47103E247 47103A740 471023556 47103A682 47103A260 471023598 47103E171 471023572 47103E569 47103D223 47103D637 471023606 47103E437 471023762 47103D470 471023887 47103D397 471023820 471023838 47103A211

Fund Preservation Series - Global Preservation Series - Growth (2) Balanced Fund Contrarian Fund Enterprise Fund Forty Fund Janus Fund (2) Growth and Income Fund Research Fund Triton Fund * Twenty Fund * Venture Fund * Asia Equity Fund (4) Emerging Markets Fund Global Life Sciences Fund Global Research Fund Global Select Fund Global Technology Fund International Equity Fund Overseas Fund (2) Global Real Estate Fund Perkins Global Value Fund Perkins International Value Fund INTECH Emerging Markets Managed Volatility Fund (3) INTECH Global Income Managed Volatility Fund INTECH International Managed Volatility Fund INTECH U.S. Core Fund * INTECH U.S. Managed Volatility Fund Perkins Large Cap Value Fund Perkins Mid Cap Value Fund * Perkins Select Value Fund Perkins Small Cap Value Fund (3) Perkins Value Plus Income Fund (4) Adaptive Global Allocation Fund Diversified Alternatives Fund (3) Flexible Bond Fund (3) Global Bond Fund (3) High-Yield Fund (3) Multi-Sector Income Fund (3) Short-Term Bond Fund (3) Global Unconstrained Bond Fund (3) Government Money Market Fund (3) Money Market Fund (3) Real Return Fund

Record

Payable

T Shares Ordinary

Capital

Total

Distribution as

Date

Date

Income (1)

Gain

Distribution

% of NAV

12/10/2015 12/10/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/16/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/18/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015 12/30/2015

12/11/2015 12/11/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/17/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/21/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015 12/31/2015

$0.67 $0.81 $1.36 $0.36 $2.73 $4.28 $3.01 $3.65 $3.08 $1.57 $6.07 $2.42 $0.52 $0.00 $3.09 $0.00 $0.00 $1.40 $0.00 $0.00 $0.28 $0.30 $0.04 $0.00 $0.20 $0.00 $2.99 $0.00 $0.44 $2.92 $0.78 $1.97 $0.23 $0.00 $0.09 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

$0.67 $0.81 $1.36 $0.37 $3.37 $4.43 $3.77 $3.65 $3.62 $1.57 $6.78 $2.77 $0.57 $0.00 $5.18 $0.30 $0.07 $1.63 $0.16 $0.93 $0.35 $0.52 $0.16 $0.13 $0.23 $0.07 $3.00 $0.09 $0.58 $3.03 $0.83 $2.46 $0.23 $0.00 $0.10 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

6.10% 8.03% 4.65% 1.91% 3.95% 14.45% 10.25% 8.28% 8.48% 6.82% 12.27% 4.41% 6.94% 0.00% 8.87% 0.49% 0.56% 7.84% 1.41% 3.33% 3.33% 3.93% 1.54% 1.41% 2.07% 0.95% 15.40% 1.05% 3.85% 16.19% 6.97% 11.89% 2.14% 0.00% 1.04% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

$0.00 $0.00 $0.00 $0.01 $0.64 $0.15 $0.76 $0.00 $0.54 $0.00 $0.71 $0.35 $0.05 $0.00 $2.09 $0.30 $0.07 $0.23 $0.16 $0.93 $0.07 $0.22 $0.12 $0.13 $0.03 $0.07 $0.01 $0.09 $0.14 $0.11 $0.05 $0.49 $0.00 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00

(1)

Ordinary income includes net investment income, short-term gains, currency gains and losses, and certain tax adjustments.

(2)

Amounts do not include the normal quarterly distribution payable on the date noted above. Amounts do not include the normal monthly distribution payable on December 31, 2015. Fund may make a distribution which is estimated to be less than $0.01/share.

(3) (4) *

Closed to certain new investors.

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. (10/15)