Janus Aspen Janus Portfolio (JAGRX)

Traditional Large-Cap Growth Equities

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PORTFOLIO FACTS (JAGRX)

Inception Date9/13/1993
NAV (As of 4/29/16)$30.12
Total Net Assets (As of 3/31/16)$521.42M
Annual Expense Ratio
(As of fiscal year end 12/31/14)
GROSS 0.55%
NET 0.55%

Performance (As of 3/31/16)
1 Year-2.69%
3 Year12.44%
5 Year10.66%
10 Year6.90%
Morningstar (As of 3/31/16)
CategoryLarge Growth
Equity
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.

Data as of 3/31/16. Index represents the Russell 1000® Growth Index.

TOP HOLDINGS (% of Portfolio)

Alphabet Inc 5.23
Apple Inc 3.98
Facebook Inc 3.53
Amazon.com Inc 2.44
Allergan plc 2.38
Bristol-Myers Squibb Co 2.35
Home Depot Inc 2.21
Amgen Inc 2.02
Honeywell International Inc 1.90
Comcast Corp 1.82
TOTAL27.86

CHARACTERISTICS

Number of Holdings
Equity Issues

91
Market Capitalization
Weighted Average
Median

$125.23B
$43.39B
Portfolio Turnover Ratio
(1-year trailing)

53.27%
Price/Earnings Ratio
(1-year forward)

22.17
Price/Book Ratio
(1-year forward)

6.50
Earnings Growth Rate
(1-year forward)

12.97%

MONTHLY TOP EQUITY
CONTRIBUTORS & DETRACTORS

CONTRIBUTORS
Apple Inc
Google Inc. Class C
Avago Technologies Ltd
Facebook Inc
Norwegian Cruise Line Holdings Ltd
DETRACTORS
COLONY AMERICAN H
Actavis PLC
Endo International PLC
Kroger Co
Chipotle Mexican Grill Inc

SECTOR ALLOCATION (%)

PORTFOLIO INDEX 
Information Technology 30.85 28.24
 
 
Consumer Discretionary 22.76 21.35
 
 
Health Care 15.39 15.57
 
 
Industrials 9.77 11.07
 
 
Consumer Staples 7.31 11.73
 
 
Financials 6.10 5.61
 
 
Materials 1.17 3.50
 
 
Energy 0.72 0.50
 
 
Telecommunication Services 0.64 2.38
 
 
Utilities 0.53 0.05
 
 
Cash & Equivalents 4.76 -
 

DEVELOPED VS. EMERGING MARKET EXPOSURE (%)

PORTFOLIOINDEX
U.S. 90.57 99.94
Non-U.S. Developed 2.83 0.01
Non-U.S. Emerging 1.84 0.05
Cash & Equivalents 4.76 -

REGIONS (%)

PORTFOLIOINDEX
North America 92.17 99.94
Asia/Pacific Ex Japan 1.84 0.04
Europe 1.23 0.01
Cash & Equivalents 4.76 -

MARKET CAPITALIZATION RANGE OF EQUITY HOLDINGS (%)

PORTFOLIOINDEX
Over $100 Billion 35.51 42.28
$50 Billion to $100 Billion 7.19 15.65
$10 Billion to $50 Billion 34.49 30.83
$5 Billion to $10 Billion 15.20 7.79
$1 Billion to $5 Billion 2.39 3.44
N/A 0.46 0.00

Equity country, regional, sector and industry weights based on MSCI and GICS classifications. Fixed income country, regional, sector and industry weights based on Barclays classifications.