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International fund investing entails special risk considerations such as currency fl uctuations, lower liquidity, economic and political risks and differences in accounting methods. These risks are even greater when investing in emerging markets.Effective March 15, 2013, and incident to shareholder approval, Janus Global Research Fund, Class S (JRGSX) and Class T (JARFX) merged into Janus Worldwide Fund, Class S (JWGRX) and Class T (JAWWX), respectively, creating a Combined Fund. The name of the Combined Fund is Janus Global Research Fund. It has adopted the management team, strategies, investment policies, inception date, and the historical performance of Janus Global Research Fund. The surviving tickers and cusips are that of Janus Worldwide Fund. For additional information, please see the prospectus for Janus Global Research Fund.Fund sheet data and production provided by Lipper. © 2014 Thomson Reuters. The information contained herein is not represented or warranted to be accurate, complete, or timely. No offer or solicitation to buy or sell any of the securities herein is being made by Lipper.
401k.GuardianLife.com
25.75
8.89
16.77
8.489.71
18.52
10.12
24.21
0
5
10
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30
The Fund seeks long-term growth of capital. The Fund may invest in companies of any size located anywhere in the world, from larger, well-established companies to smaller, emerging growth companies.
Asset Allocation09/30/13
Funds that, by portfolio practice, invest in a variety of market capitalization ranges without concentrating 75% of their equity assets in any one market capitalization range over an extended period of time. Global multi-cap growth funds typically have an above-average price-to-cash fl ow ratio, price-to-book ratio, and three-year sales-per-share growth value compared to the S&P/Citigroup BMI.
1 Year 3 Year 5 Year 10 Year Since Incep.
$22,690 $19,478
Risk Assessment
Janus Global Research Fund Asset Class: International/Global Share Class: Class T Shares
Janus Global Rsrch;T
Fund Performance as of 12/31/2013
Ticker JAWWX
Fund Inception Date 02/25/2005
Investment Style Global Multi-Cap Growth
Fund Manager James P. Goff
Manager Tenure 2005
Gross Expense Ratio 1.03
Total Fund Assets ($M) 999.2
Annual Turnover Ratio 67
Performance (Total Return %)
as of 12/31/2013
Fund
Lipper GL Multi-
Cp Gr IX
Top Ten Holdings 09/30/13
Canadian Pacifi c Railway Ltd ORD 2.17
AIA Group Ltd ORD 1.84
AP Moeller Maersk A/S ORD 1.72
Koninklijke Vopak NV ORD 1.60
Keyence Corp ORD 1.37
Apple Inc ORD 1.37
Kuehne und Nagel International AG ORD 1.32
Google Inc ORD 1.15
Unilever NV DR 1.14
Imperial Tobacco Group PLC ORD 1.13
Performance Volatility over 3 Years
Best 3 Months 15.86 ended 03/31/2012 Worst 3 Months -18.51 ended 09/30/2011
Growth of $10,000
as of 12/31/2013
in thousands
Fund
Lipper GL Multi-
Cp Gr IX
Equities 95.44
Other 3.75
Cash 0.81
Country Weightings 09/30/13
United States 46.59
United Kingdom 9.27
Japan 6.63
Netherlands 5.77
Switzerland 5.21
Canada 3.49
Hong Kong 2.69
France 2.68
Ireland 2.10
Denmark 1.72
Management Company
Janus Capital Management LLC151 Detroit Street Denver, CO 80206-4805877-335-2687
$6.0
$8.0
$10.0
$12.0
$14.0
$16.0
$18.0
$20.0
$22.0
$24.0
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�Past�performance�is�not�an�indication�of�future�results.��Total�returns�are�historical�and�include�changes�in�share�price,�deduction�of�all�fund�expenses�andreinvestment�of�dividends�and�capital�gains,�if�any.�This�information�is�for�illustrative�purposes�onlyand�is�not�an�indication�of�future�fund�performance.�Investment�returns�and�principal�value�will�varyand�shares�may�be�worth�more�or�less�than�original�cost�at�redemption.�The�total�return�figuresshown�do�not�reflect�the�deduction�of�The�Guardian�Advantage®�or�The�Guardian�Choice®�contractcharges�and�fees,�which�will�lower�actual�performance.��The�Top�Ten�Holdings,�Portfolio�Profile�and�Sector�Weightings�sections�are�presented�to�illustrateexamples�of�the�securities�and�types�of�industries�in�which�the�Fund�may�be�invested�and�may�not�berepresentative�of�the�Fund’s�current�or�future�investment�portfolio,�which�may�change�at�any�time.��Indexes�are�hypothetical�portfolios�of�specified�securities�(common�examples�are�the�S&P�500�andthe�Barclays�Capital�Aggregate�Bond),�the�performance�of�which�is�often�used�as�a�benchmark�injudging�the�relative�performance�of�securities�such�as�mutual�funds,�stocks,�or�variable-annuitysubaccounts.�Indexes�are�unmanaged�portfolios�and�should�only�be�compared�with�securities�orfunds�that�have�similar�investment�objectives.��Investment�options�are�available�through�The�Guardian�Advantage®,�a�group�variable�annuitycontract�and�The�Guardian�Choice®,�a�group�variable�funding�agreement�issued�by�The�GuardianInsurance�&�Annuity�Company,�Inc.�(GIAC),�a�Delaware�corporation�whose�principal�place�ofbusiness�is�7�Hanover�Square,�New�York,�NY�10004.�GIAC�is�a�wholly�owned�subsidiary�of�TheGuardian�Life�Insurance�Company�of�America,�New�York,�NY.�Investments�offered�under�TheGuardian�Advantage®�group�variable�annuity�and�The�Guardian�Choice®�are�not�deposits�orobligations�of,�or�guaranteed�or�endorsed�by�any�bank�or�depository�institution,�nor�are�they�federallyinsured�by�the�Federal�Deposit�Insurance�Corporation,�the�Federal�Reserve�Board,�or�any�otheragency.�They�involve�risk,�including�possible�loss�of�principal�amount�invested.��This�information�is�not�intended�by�The�Guardian�Life�Insurance�Company�of�America,�GIAC,�or�anyof�its�employees�or�agents�to�be�considered�tax,�legal,�investment�or�actuarial�advice.�Please�consultyour�tax,�legal,�investment�or�actuarial�advisor�for�guidance�and�information�specific�to�your�situation.��The�variable�investment�options�offered�under�The�Guardian�Advantage®,�a�group�variableannuity�contract,�and�The�Guardian�Choice®,�a�group�variable�funding�agreement,�areavailable�by�prospectus�or�other�disclosure�information.�The�prospectuses�or�other�disclosureinformation�contain�important�information�including�fees�and�expenses�and�should�be�readcarefully�before�investing�or�sending�money.�Please�consider�the�investment�company'sinvestment�objectives,�risks,�fees�and�expenses�carefully�before�investing.�The�prospectus�orother�disclosure�information�contains�this�and�other�important�information.��Please�call�1-800-847-4015�for�a�prospectus�or�other�disclosure�information�or�click�the�linkbelow�for�an�electronic�version.��https://www.guardianretirement.com/download/prospectus.aspx?id=2700�