ASSET CLASS

FUND MANAGER

SHARE CLASS

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COMPAREFUNDMORNINGSTAR CATEGORY
As of 5/26/2017
As of 3/31/2017
30 DAY SEC YIELD
As of 3/31/2017
EXPENSE RATIO
MY FUNDS LISTFACT SHEET
YTD1 YR5 YR10 YRSINCE
INCEPTION
WITH WAIVERSWITHOUT WAIVERSGROSSNET
Featured Funds
US Fund World Stock9.74%9.37%7.55%4.28%6.37%N/AN/A0.69%0.69%
US Fund Foreign Large Value13.89%8.17%N/AN/A4.57%N/AN/A2.31%0.95%
US Fund Large Value4.85%15.04%10.46%N/A11.93%N/AN/A0.73%0.70%
US Fund Mid-Cap Value4.24%19.86%10.44%7.02%11.78%N/AN/A0.51%0.51%
US Fund Mid-Cap Blend4.22%21.30%10.67%N/A12.75%N/AN/A0.88%0.72%
US Funds Allocation-50% to 70% Equity3.43%12.37%7.83%N/A8.73%2.44%1.78%1.21%0.77%

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.

Click a fund name for additional important information including objectives, risks, performance history and expense detail. 

Effective March 30, 2017, Janus International Equity Fund was liquidated. (View the Fund's prospectus.)

Effective May 1, 2017, Janus Twenty Fund merged into Janus Forty Fund. (View the Janus Twenty Fund's prospectus.)

Effective May 1, 2017, Janus Fund merged into Janus Research Fund. (View the Janus Fund's prospectus.)