Janus Triton Fund (JSMGX)

Moderate Small to Mid-Cap Growth Equities



Inception Date2/25/2005
NAV (As of 4/28/17)$26.19
Total Net Assets (As of 3/31/17)$7.82B
Annual Expense Ratio
(As of fiscal year end 9/30/16)
GROSS 0.78%
NET 0.78%

Morningstar Fee Level
(As of 3/31/17)
Fee Level Group
(out of 578 funds)
Small Cap Institutional

Performance (As of 3/31/17)
1 Year18.77%
3 Year10.16%
5 Year13.14%
10 Year11.15%
Morningstar (As of 3/31/17)
CategoryUS Fund Small Growth
Overall Rating™
(Based on risk-adjusted returns)

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599 Funds Rated
Analyst Rating
Style Box

Returns quoted are past performance and do not guarantee future results; current performance may be lower or higher. Investment returns and principal value will vary; there may be a gain or loss when shares are sold. For the most recent month-end performance click here.

Returns greater than one year are annualized.

Net expense ratios reflect the expense waiver, if any, Janus Capital has contractually agreed to through 2/1/18.

Client Commitment

A moderately positioned, small-mid-cap growth fund seeking to provide consistent relative returns with lower volatility than the index. The Fund invests in small-cap companies with differentiated business models and sustainable competitive advantages that are positioned to grow market share regardless of economic conditions.

Why Invest in the Fund


Seeks small-cap companies that stand out from competitors – through differentiated business models, innovative approaches or unique products or services – that are using their competitive advantages to grow over a multi-year time frame.


In-depth fundamental research supported by analysts and small-mid cap specialists who look for small-cap companies early in their life cycle that have the potential to grow into mid-sized companies.


The Fund offers the potential for capital appreciation through exposure to small companies having the potential to quickly grow into mid-size companies with a focus on resilient business models positioned to weather a variety of market environments.


Top Decile Risk-Adjusted Performance with Bottom Decile Volatility
5 Year risk/reward rankings in Morningstar Small Growth Category (624 funds) as of 3/31/17
Percentile ranking chart
Based on the Fund's "parent" share class (typically that with the longest history). Performance varies by share class.
Closed to certain new investors.
3 Year risk/reward rankings in Morningstar Small Growth Category as of 12/31/16: Alpha ? 15th percentile ranked 94 of 657 funds, Sharpe Ratio ? 11th percentile ranked 71 of 657 funds, Standard Deviation ? 88th percentile ranked 578 of 657 funds and Beta ? 81st percentile ranked 537 of 657 funds.


Jonathan Coleman

Jonathan Coleman, CFA

Fund Manager since 2013
Industry since 1994

Scott Stutzman

Scott Stutzman, CFA

Fund Manager since 2016
Industry since 2001


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