Janus
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Ticker Symbol:
JMUDX
Fund Type:
  

Management Fee Evaluation


Class D shares

   
Who should consider this fund

Investors seeking consistent, high income and risk-adjusted capital appreciation

  • Seeks Consistent High Current Income: Multi-sector portfolio seeks to identify the best income-generating opportunities across fixed income sectors, including up to 65% in below investment grade bonds. The strategy uses a bottom-up, fundamentally driven process that is focused on credit-oriented investments.
  • Integrated Research: Partnership and fluid communication between fixed income and equity analysts promote idea generation. Credit research emphasizes free cash flow generation, quality of management and security valuation.
  • Sophisticated Risk Management: Our proprietary fixed income portfolio and risk-management system, Quantum Global, is integrated into the investment process at each step. We identify and measure the sources of risk in the portfolio at multiple levels to confirm that the portfolio is positioned as intended.
Seth Meyer | John Kerschner | John Lloyd
  • Joined Janus in 2004
  • Seth is a CFA Charterholder
  • Bachelor's degree - business administration, University of Colorado
as of 02/28/2015
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Please consider the charges, risks, expenses and investment objectives carefully before investing. Please see a prospectus , or if available, a summary prospectus containing this and other information. Read it carefully before you invest or send money.

A Fund's performance may be affected by risks that include those associated with nondiversification, non-investment grade debt securities, high-yield/high-risk securities, undervalued or overlooked companies, investments in specific industries or countries and potential conflicts of interest. Additional risks to a Fund may also include, but are not limited to, those associated with investing in foreign securities, emerging markets, initial public offerings, real estate investment trusts (REITs), derivatives, short sales, commodity-linked investments and companies with relatively small market capitalizations. Each Fund has different risks. Please see a Janus prospectus for more information about risks, Fund holdings and other details.

Funds that invest in bonds have the same interest rate, inflation, and credit risks that are associated with the underlying bonds owned by the fund. Unlike owning individual bonds, there are ongoing fees and expenses associated with owning shares of bond funds. The return of principal is not guaranteed due to net asset value fluctuation that is caused by changes in the price of specific bonds held in the fund and selling of bonds within the fund by the portfolio manager(s).

High-yield/high-risk bonds, also known as "junk" bonds, involve a greater risk of default and price volatility than U.S. Government and other high quality bonds. High-yield/high-risk bonds can experience sudden and sharp price swings which will affect net asset value.

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