The regular monthly dividend for the Perkins Value Plus Income Fund and the INTECH Global Dividend Fund will be paid on December 31, 2013.
|
|
- Prudence Robbins
- 5 years ago
- Views:
Transcription
1 2013 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 19, 2013 to shareholders of record on December 18, 2013 for the Janus equity funds listed below. The regular monthly dividend for the Perkins Value Plus Fund and the INTECH Global Dividend Fund will be paid on December 31, The Janus income funds will pay distributions, if any, on December 31, The Janus asset allocation funds will distribute on December 27, 2013 to shareholders of record on December 26, The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law. Please consider the charges, risks, expenses and investment objectives carefully before investing. For a prospectus containing this and other information, please call Janus at JANUS (52687) (or if you hold shares directly with Janus Capital). You can also visit janus.com/info (or janus.com/reports if you hold shares directly with Janus Capital). Read it carefully before you invest or send money. Please note that Funds that have invested in real estate investment trusts (REITs) during the current tax year may potentially recharacterize some of their income distributions as return of capital. If applicable, the recharacterization may occur in February following the current tax year.
2 Janus Fund (A Shares) Ordinary (1) & CUSIP Fund A Shares 47103A617 (2) Global Real Estate Fund $ $ $ $ $ Perkins Global Value Fund $ $ $ $ $ D629 Perkins International Value Fund $ $ $ $ $ C159 (3) INTECH Global Dividend Fund $ $ $ $ $ C100 INTECH U.S. Core Fund $ $ $ $ $ A849 INTECH U.S. Growth Fund $ $ $ $ $ A781 INTECH International Fund $ $ $ $ $ A732 INTECH U.S. Value Fund $ $ $ $ $ A310 Perkins Large Cap Value Fund $ $ $ $ $ C266 Perkins Mid Cap Value Fund * $ $ $ $ $ E239 Perkins Select Value Fund $ $ $ $ $ C217 Perkins Small Cap Value Fund * $ $ $ $ $ E627 (3) Perkins Value Plus Fund $ $ $ $ $ D694 Diversified Alternatives Fund $ $ $ $ $
3 Janus Fund (C Shares) Ordinary (1) & CUSIP Fund C Shares 47103A591 (2) Global Real Estate Fund $ $ $ $ $ Perkins Global Value Fund $ $ $ $ $ D611 Perkins International Value Fund $ $ $ $ $ C142 (3) INTECH Global Dividend Fund $ $ $ $ $ C209 INTECH U.S. Core Fund $ $ $ $ $ A831 INTECH U.S. Growth Fund $ $ $ $ $ A773 INTECH International Fund $ $ $ $ $ A724 INTECH U.S. Value Fund $ $ $ $ $ A294 Perkins Large Cap Value Fund $ $ $ $ $ C258 Perkins Mid Cap Value Fund * $ $ $ $ $ E221 Perkins Select Value Fund $ $ $ $ $ C191 Perkins Small Cap Value Fund * $ $ $ $ $ E619 (3) Perkins Value Plus Fund $ $ $ $ $ D686 Diversified Alternatives Fund $ $ $ $ $
4 Janus Fund (D Shares) Ordinary (1) & CUSIP Fund D Shares * 47103E882 (2) Global Real Estate Fund $ $ $ $ $ E809 Perkins Global Value Fund $ $ $ $ $ D595 Perkins International Value Fund $ $ $ $ $ C134 (3) INTECH Global Dividend Fund $ $ $ $ $ E106 INTECH U.S. Core Fund $ $ $ $ $ E635 Perkins Large Cap Value Fund $ $ $ $ $ E650 Perkins Mid Cap Value Fund $ $ $ $ $ E213 Perkins Select Value Fund $ $ $ $ $ E643 Perkins Small Cap Value Fund $ $ $ $ $ E593 (3) Perkins Value Plus Fund $ $ $ $ $ D678 Diversified Alternatives Fund $ $ $ $ $
5 Janus Fund (I Shares) Ordinary (1) & CUSIP Fund I Shares 47103A583 (2) Global Real Estate Fund $ $ $ $ $ Perkins Global Value Fund $ $ $ $ $ D587 Perkins International Value Fund $ $ $ $ $ C126 (3) INTECH Global Dividend Fund $ $ $ $ $ C308 INTECH U.S. Core Fund $ $ $ $ $ A823 INTECH U.S. Growth Fund $ $ $ $ $ A765 INTECH International Fund $ $ $ $ $ A716 INTECH U.S. Value Fund $ $ $ $ $ A286 Perkins Large Cap Value Fund $ $ $ $ $ C241 Perkins Mid Cap Value Fund * $ $ $ $ $ E197 Perkins Select Value Fund $ $ $ $ $ C183 Perkins Small Cap Value Fund * $ $ $ $ $ E585 (3) Perkins Value Plus Fund $ $ $ $ $ D660 Diversified Alternatives Fund $ $ $ $ $
6 Janus Fund (L Shares) Ordinary (1) & CUSIP Fund L Shares Perkins Mid Cap Value Fund * $ $ $ $ $ Perkins Small Cap Value Fund * $ $ $ $ $
7 Janus Fund (N Shares) Ordinary (1) & CUSIP Fund N Shares 47103D769 Perkins Global Value Fund $ $ $ $ $ D579 Perkins International Value Fund $ $ $ $ $ D751 Perkins Large Cap Value Fund $ $ $ $ $ D744 Perkins Mid Cap Value Fund * $ $ $ $ $ D728 Perkins Small Cap Value Fund * $ $ $ $ $ D652 Diversified Alternatives Fund $ $ $ $ $
8 Janus Fund (R Shares) Ordinary (1) & CUSIP Fund R Shares 47103C233 Perkins Mid Cap Value Fund * $ $ $ $ $ C175 Perkins Small Cap Value Fund * $ $ $ $ $
9 Janus Fund (S Shares) Ordinary (1) & CUSIP Fund S Shares 47103A575 (2) Global Real Estate Fund $ $ $ $ $ Perkins Global Value Fund $ $ $ $ $ D561 Perkins International Value Fund $ $ $ $ $ C118 (3) INTECH Global Dividend Fund $ $ $ $ $ C407 INTECH U.S. Core Fund $ $ $ $ $ A815 INTECH U.S. Growth Fund $ $ $ $ $ A757 INTECH International Fund $ $ $ $ $ A690 INTECH U.S. Value Fund $ $ $ $ $ A278 Perkins Large Cap Value Fund $ $ $ $ $ C225 Perkins Mid Cap Value Fund * $ $ $ $ $ E189 Perkins Select Value Fund $ $ $ $ $ C167 Perkins Small Cap Value Fund * $ $ $ $ $ E577 (3) Perkins Value Plus Fund $ $ $ $ $ D645 Diversified Alternatives Fund $ $ $ $ $
10 Janus Fund (T Shares) Ordinary (1) & CUSIP Fund T Shares 47103A567 (2) Global Real Estate Fund $ $ $ $ $ Perkins Global Value Fund $ $ $ $ $ D553 Perkins International Value Fund $ $ $ $ $ E247 (3) INTECH Global Dividend Fund $ $ $ $ $ INTECH U.S. Core Fund $ $ $ $ $ A799 INTECH U.S. Growth Fund $ $ $ $ $ A740 INTECH International Fund $ $ $ $ $ A682 INTECH U.S. Value Fund $ $ $ $ $ A260 Perkins Large Cap Value Fund $ $ $ $ $ Perkins Mid Cap Value Fund * $ $ $ $ $ E171 Perkins Select Value Fund $ $ $ $ $ Perkins Small Cap Value Fund * $ $ $ $ $ E569 (3) Perkins Value Plus Fund $ $ $ $ $ D637 Diversified Alternatives Fund $ $ $ $ $
11 If you have additional questions, kindly contact us as follows: Intermediary clients (financial institutions, B/D, financial advisors, etc.), please call your Janus representative at JANUS (52687). RIAs, please call your Janus Service Consultant at RIA (4742). Institutional clients, please call Janus Capital Group Institutional at Direct Janus shareholders please call If you do not see your fund listed, contact your Janus representative. Funds distributed by Janus Distributors LLC. (12/13)
The regular monthly dividend for the Perkins Value Plus Income Fund and the INTECH Global Dividend Fund will be paid on December 31, 2012.
2012 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 20, 2012 to shareholders of record on December 19, 2012 for the Janus equity funds
More informationThe Janus asset allocation funds will distribute on December 27, 2013 to shareholders of record on December 26, 2013.
2013 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 13, 2013 to shareholders of record on December 12, 2013 for the Janus Protected Series
More informationThe funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.
2012 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 31, 2012 to shareholders of record on December 28, 2012 for the Janus income funds
More informationThe funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.
2014 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 31, 2014 to shareholders of record on December 30, 2014 for the Janus income funds
More informationThe Janus asset allocation funds will distribute on December 28, 2012 to shareholders of record on December 27, 2012.
2012 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 18, 2012 to shareholders of record on December 17, 2012 for the Janus equity funds
More informationThe Janus preliminary year-end distribution estimates to be paid in December 2015 are shown below.
2015 Janus Estimated Per Share Distribution Amounts The Janus preliminary year-end distribution estimates to be paid in December 2015 are shown below. Please note that these estimates were prepared using
More informationThe funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.
2015 Janus Final Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 31, 2015 to shareholders of record on December 30, 2015 for the Janus income funds
More informationThe funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.
2016 Janus Final Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 30, 2016 to shareholders of record on December 29, 2016 for the Janus income funds
More information2019 Janus Investment Funds Monthly Per Share Distribution Amounts
2019 Janus Investment Funds Monthly Per Share Distribution Amounts Janus Henderson Global Income Managed Volatility Fund, Janus Henderson Value Plus Income Fund and Janus Henderson Strategic Income Fund
More informationThe Janus asset allocation funds will distribute on December 28, 2016 to shareholders of record on December 27, 2016.
2016 Janus FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 19, 2016 to shareholders of record on December 16, 2016 for the Janus equity funds
More informationDIVIDEND COMPOSITION INFORMATION
Some sub-funds may invest in any one or a combination of the following instruments: - futures, options and swaps and other financial derivative instruments ( FDI ) for efficient portfolio management purposes.
More informationThe Emerging Market Conundrum
T H E M A G A Z I N E F O R E T F INVESTORS ////////////////////////////////////////////////////////////// MAY 2016 The Emerging Market Conundrum P U B L I S H E D BY SMART-BETA CORNER By Heather Bell
More informationDividend and Distribution Information 9/29/2017
2017 Janus Investment Funds Per Share Distribution Amounts The following Janus Henderson funds distributed their quarterly dividends on September 29, 2017. Record date is September 28, 2017. Payable and
More informationStreet Number Street Name Apartment Number. City State Zip Code
IRA Application PO Box 55932 Boston, MA 02205-5932 800-525-1093 You must be a current Janus retail shareholder or a member of their immediate family or household to open a new account directly with Janus.
More informationJanuary 20, Sincerely, Bruce L. Koepfgen President and Chief Executive Officer of Janus Investment Fund
January 20, 2017 Dear Shareholder: Recently, Janus Capital Group Inc. ( Janus ), the parent company of Janus Capital Management LLC ( Janus Capital ), your fund s investment adviser, and Henderson Group
More informationDirect Rollover IRA Form
Direct Rollover IRA Form PO Box 55932 Boston, MA 02205-5932 800-379-7603 Use this form to invest an eligible rollover distribution from an employer s retirement plan into a new or existing IRA at Janus.
More informationAuthorization to Convert a Janus Traditional IRA
Authorization to Convert a Janus Traditional IRA PO Box 55932 Boston, MA 02205-5932 800-525-1093 Use this form to convert assets from an existing Janus Traditional IRA to a new or existing Janus Roth IRA.
More informationJanus SEP/SARSEP IRA Application
Janus SEP/SARSEP IRA Application PO Box 55932 Boston, MA 02205-5932 800-525-1093 In order to open a new account directly with Janus, you, or a member of your immediate family or household, must be a current
More informationInformation for Completing Your 2017 Tax Return
Information for Completing Your 2017 Tax Return Form 1099-INT What should I do with this form and what is reported on it? Form 1099-INT is utilized to report dividend income distributions from tax-exempt
More informationVariable Annuity Investment Options
Variable Annuity Investment Options Commonwealth Annuity offers a comprehensive range of investment options to help you build a diversified portfolio. Our investment options at a glance. Commonwealth Annuity
More informationPGIM INVESTMENTS UPDATE
PGIM INVESTMENTS Bringing you the investment managers of Prudential Financial, Inc. PGIM INVESTMENTS UPDATE Prudential Mutual Funds to be renamed PGIM Mutual Funds Prudential Closed-end Funds to be renamed
More information2018 AQR Funds Supplemental Tax Information
2018 AQR Funds Supplemental Tax Information February 2019 Dear Shareholder: This document contains important supplemental tax information about AQR Funds intended to help you file your 2018 tax returns.
More information2017 Janus Henderson Funds FINAL Per Share Distribution Amounts
2017 Janus Henderson Funds FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 29, 2017 to shareholders of record on December 28, 2017 for the Janus
More informationVanguard Variable Insurance Fund Diversified Value Portfolio Summary Prospectus
Vanguard Variable Insurance Fund Diversified Value Portfolio Summary Prospectus April 28, 2017 The Fund s statutory Prospectus and Statement of Additional Information dated April 28, 2017, as may be amended
More informationImportant Information about your Capital Gain and Dividend Distributions Corporate Dividends Received Deduction Information...
00126859 Allianz Family of Funds 2017 Mutual Fund Tax Guide Dear Shareholder: This guide contains general tax information regarding the Allianz Family of Funds. Although it may help you with your tax return,
More informationCost Basis Explained Important Information about your Capital Gain and Dividend Distributions Other Important Key Terms...
00218197 Allianz Family of Funds 2018 Mutual Fund Tax Guide Dear Shareholder: This guide contains general tax information regarding the Allianz Family of Funds. Although it may help you with your tax return,
More informationPACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered October 1, 2018 through December 31, 2018
PACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered October 1, 2018 through December 31, 2018 The tables below provide information about the difference between the daily market closing price for
More informationSustainability Report
Sustainability Report Data as of June 30, 2018 There is no guarantee investment strategies will be successful. Investment risks include loss of principal and fluctuating value. Environmental and social
More informationJANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS
JANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS January 22, 2015 DENVER Janus Capital Group Inc. ( JCG ) (NYSE: JNS) today reported fourth quarter net income of $46.7 million,
More information2018 Rollover/Transfer Bonus Contract
2018 Rollover/Transfer Bonus Contract 800-379-7603 Complete this form to sign up for the Janus Henderson Rollover/Transfer Bonus Program. Once Janus Henderson receives the completed/signed form and eligible
More informationPACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered January 1, 2018 through March 31, 2018
PACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered January 1, 2018 through March 31, 2018 The tables below provide information about the difference between the daily market closing price for shares
More informationPACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered November 1, 2017 through January 31, 2018
PACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered November 1, 2017 through January 31, 2018 The tables below provide information about the difference between the daily market closing price for
More informationPACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered October 1, 2017 through December 31, 2017
PACER EXCHANGE TRADED FUNDS Premium/Discount Period Covered October 1, 2017 through December 31, 2017 The tables below provide information about the difference between the daily market closing price for
More informationDecember 31, Supplement to the Summary Prospectus and Prospectus Dated July 30, 2018
December 31, 2018 Brown Capital Management International Small Company Fund Institutional Shares - BCSFX (a series of Brown Capital Management Mutual Funds) Supplement to the Summary Prospectus and Prospectus
More informationGOLDMAN SACHS TRUST. Effective July 28, 2017, the Funds Prospectuses and SAIs are revised as follows:
GOLDMAN SACHS TRUST Supplement dated June 28, 2017 to the current Summary Prospectuses, Statutory Prospectuses ( Prospectuses ) and Statements of Additional Information ( SAIs ) for each applicable Goldman
More informationProspectus. Mid Company Fund Institutional Shares (BCMIX) (CUSIP Number )
Prospectus Mid Company Fund Institutional Shares (BCMIX) (CUSIP Number 115291783) Small Company Fund Institutional Shares (BCSSX) (CUSIP Number 115291403) International Equity Fund Institutional Shares
More informationIRA Systematic Distribution Form
IRA Systematic Distribution Form PO Box 55932 Boston, MA 02205-5932 800-525-1093 Use this form to establish systematic distributions from your IRA. Do not use this form for a one-time distribution. Print
More informationFidelity Global Commodity Stock Fund Class/Ticker Fidelity Advisor Global Commodity Stock Fund A/FFGAX M/FFGTX C/FCGCX I/FFGIX Z/ FIQRX
Fidelity Global Commodity Stock Fund Class/Ticker Fidelity Advisor Global Commodity Stock Fund A/FFGAX M/FFGTX C/FCGCX I/FFGIX Z/ FIQRX Summary Prospectus December 29, 2018 Before you invest, you may want
More informationProspectus. Mid Company Fund Investor Shares (BCMSX) (CUSIP Number ) Small Company Fund Investor Shares (BCSIX) (CUSIP Number )
Prospectus Mid Company Fund Investor Shares (BCMSX) (CUSIP Number 115291809) Small Company Fund Investor Shares (BCSIX) (CUSIP Number 115291833) International Equity Fund Investor Shares (BCIIX) (CUSIP
More informationIntelligent Life Variable Universal Life Insurance Intelligent Life Survivorship Variable Universal Life Insurance
TIAA-CREF Life Insurance Company (TIAA Life) Life) Intelligent Life Variable Universal Life Insurance Intelligent Life Survivorship Variable Universal Life Insurance Current subaccount performance period
More informationCommonwealth 401(k) a variable annuity issued by Genworth Life and Annuity Insurance Company
as of December 31, 2018 Commonwealth 401(k) 14002 01/01/19 (expires 02/15/19) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 7 IMPORTANT INFORMATION The following information is designed
More informationVictory Portfolios Mutual Fund Pricing Policies
Victory Portfolios Mutual Fund Pricing Policies The cost of your investment depends on the share class you choose and the amount you invest. Different share classes in one or more series of the Victory
More informationPacer Benchmark Industrial Real Estate SCTR ETF. Trading Symbol: INDS NYSE Arca, Inc. Summary Prospectus May 3,
Pacer Benchmark Industrial Real Estate SCTR ETF Trading Symbol: INDS NYSE Arca, Inc. Summary Prospectus May 3, 2018 www.paceretfs.com Before you invest, you may want to review the Pacer Benchmark Industrial
More informationCharles Schwab Bank Collective Trust Funds CUSIP Details
Charles Schwab Bank Collective Trust s Details Schwab Indexed Retirement Trust s Schwab Indexed Retirement Trust 2010 I 808518583 Schwab Indexed Retirement Trust 2015 I 808518575 Schwab Indexed Retirement
More informationSUMMARY PROSPECTUS. BlackRock Basic Value Fund, Inc. Class K Shares Class K: MBVKX OCTOBER 26, 2018
OCTOBER 26, 2018 SUMMARY PROSPECTUS BlackRock Basic Value Fund, Inc. Class K Shares Class K: MBVKX Before you invest, you may want to review the Fund s prospectus, which contains more information about
More information192 01/30/2015 $ Income Dividend Return of Capital Emerging Markets Local Currency Bond
A portion of the 2015 dividends paid by the Price funds will be reclassified for 1099 purposes. A reclassification means that the tax character of the dividend on the shareholder s 1099 mailed in January
More informationJANUS CAPITAL FUNDS PLC 10 Earlsfort Terrace Dublin 2 Ireland
JANUS CAPITAL FUNDS PLC 10 Earlsfort Terrace Dublin 2 Ireland This document is important and requires your immediate attention. If you are in any doubt as to the action you should take you should seek
More informationGOLDMAN SACHS TRUST R6SHRESDISTR 10-17
GOLDMAN SACHS TRUST Supplement dated November 2, 2017 to the current Prospectuses, Summary Prospectuses and Statements of Additional Information for each applicable Goldman Sachs Fund that has Class R6
More informationFirst Name Middle Initial Last Name. Street Number Street Name Apartment Number. City State Zip Code
Janus Janus Rollover/Transfer Rollover/Transfer Bonus Incentive Contract Contract PO Box 55932 Boston, MA 02205-5932 800-379-7603 Complete this form to sign up for the Janus Rollover/Transfer Bonus Program.
More information2017 MANAGEMENT FEE EVALUATION APPROVAL OF ADVISORY AGREEMENTS DURING THE PERIOD JANUS INVESTMENT FUND AND JANUS ASPEN SERIES
2017 MANAGEMENT FEE EVALUATION APPROVAL OF ADVISORY AGREEMENTS DURING THE PERIOD JANUS INVESTMENT FUND AND JANUS ASPEN SERIES The Trustees of Janus Investment Fund and Janus Aspen Series, each of whom
More information2017 CAPITAL GAINS DISTRIBUTION ESTIMATES
2017 CAPITAL GAINS DISTRIBUTION ESTIMATES Estimated amounts of upcoming capital gain distributions are shown below. Estimated distributions can change prior to the record date depending on current market
More informationPOLARIS. Variable Annuity. Investment choices available if an income protection feature is not elected FOR THOSE WHO WANT MORE
Polaris Variable Annuity Investment choices available if an income protection feature is not elected POLARIS FOR THOSE WHO WANT MORE This material must not be used without the Polaris Variable Annuity
More informationSUMMARY PROSPECTUS. November 28, 2017
November 28, 2017 SUMMARY PROSPECTUS BlackRock Equity Dividend Fund Investor, Institutional and Class R Investor A: MDDVX Investor B: MBDVX Investor C: MCDVX Institutional: MADVX Class R: MRDVX Before
More informationEGA EM Investor Sentiment Survey
EGA EM Investor Sentiment Survey Conducted in 2Q16 155 W 19th St. New York, NY 10011 +1 888 800 4347 emergingglobaladvisors.com 1 DISCLOSURES Disclosures Investors should carefully consider the investment
More informationBrown Capital Management International Equity Fund. Summary Prospectus July 30, 2018 Investor Shares (BCIIX) CUSIP Number
Brown Capital Management International Equity Fund Summary Prospectus July 30, 2018 Investor Shares (BCIIX) CUSIP Number 115291858 Before you invest, you may want to review the Fund s Prospectus, which
More informationVanguard Emerging Markets Select Stock Fund Summary Prospectus
Vanguard Emerging Markets Select Stock Fund Summary Prospectus February 22, 2018 Investor Shares Vanguard Emerging Markets Select Stock Fund Investor Shares (VMMSX) The Fund s statutory Prospectus and
More informationRiverSource Mutual Funds Dividends and Capital Gains Class A Shares
Class A Shares Class A Shares $ $ (May) $ Date Date $ RiverSoure Advanced Alpha strategies RiverSource Advice-Built solutions RiverSource Balanced 9/30 -- -- -- -- 12/16/2010 -- Quarterly RiverSource Income
More informationImportant Changes to Fidelity Funds. Key Points
Important Changes to Fidelity Funds Key Points The Fidelity Funds Global Real Asset Securities Fund will merge into Fidelity Funds Global Focus Fund on 23 May 2016. If you agree with the Merger you do
More informationVanguard funds and ETFs reporting expense ratio changes for the fiscal year ended December 2015.
Vanguard funds and ETFs reporting expense ratio changes for the fiscal year ended December 2015. Domestic Bond Index Vanguard Total Bond Market Index Fund Admiral 0.07% 0.06% 1 14% ETF 0.07% 0.06% 1 14%
More informationBALANCED FUND. 25 Years of Dynamic Asset Allocation. 4Q17 Asset Allocation. Overall Morningstar Rating TM
4Q17 Asset Allocation BALANCED FUND 25 Years of Dynamic Asset Allocation A: JDBAX C: JABCX I: JBALX N: JABNX R: JDBRX S: JABRX T: JABAX Overall Morningstar Rating TM Based on risk adjusted returns as of
More informationSUMMARY PROSPECTUS. BlackRock Funds SM
JANUARY 28, 2019 SUMMARY PROSPECTUS BlackRock Funds SM Investor, Institutional and Class R BlackRock Health Sciences Opportunities Portfolio Investor A: SHSAX Investor C: SHSCX Institutional: SHSSX Class
More informationRiverSource Mutual Funds Dividends and Capital Gains
Class A Shares Class A Shares $ $ (October) $ Date Date $ RiverSoure Advanced Alpha strategies RiverSource Advice-Built solutions RiverSource Balanced 9/30 -- -- -- -- 12/17/2009 -- Quarterly RiverSource
More informationAMG Managers CenterSquare Real Estate Fund Class N (MRESX) Class I (MRASX) Class Z (MREZX) September 2018
Class N (MRESX) Class I (MRASX) Class Z (MREZX) September 2018 FOR INVESTMENT PROFESSIONAL USE ONLY NOT FOR DISTRIBUTION TO OR USE WITH THE GENERAL PUBLIC QUARTERLY PERFORMANCE (%) AND EXPENSE RATIOS as
More informationBrown Capital Management Small Company Fund. Summary Prospectus July 30, CUSIP Number
Brown Capital Management Small Company Fund Summary Prospectus July 30, 2018 Institutional Shares (BCSSX) CUSIP Number 115291403 Before you invest, you may want to review the Fund s Prospectus, which contains
More informationICM Small Company Portfolio
The Advisors Inner Circle Fund ICM Small Company Portfolio Summary Prospectus March 1, 2018 Ticker: Institutional Class Shares ICSCX Before you invest, you may want to review the Fund s complete prospectus,
More information192 01/31/2014 $ Income Dividend Return of Capital Emerging Markets Local Currency Bond
A portion of the 2014 dividends paid by the Price funds will be reclassified for 1099 purposes. A reclassification means that the tax character of the dividend on the shareholder s 1099 mailed in January
More informationSUMMARY PROSPECTUS. BlackRock Funds SM. BlackRock Shares BlackRock Exchange Portfolio BlackRock: STSEX APRIL 30, 2018
APRIL 30, 2018 SUMMARY PROSPECTUS BlackRock Funds SM BlackRock Shares BlackRock Exchange Portfolio BlackRock: STSEX Before you invest, you may want to review the Fund s prospectus, which contains more
More informationIssued by RiverSource Life Insurance Co. of New York (RiverSource Life of NY) ARE NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY
RiverSource SM Personal Portfolio Plus 2 Variable Annuity Issued by RiverSource Life Insurance Co. of New York (RiverSource Life of NY) A Flexible-Premium, Deferred Combination Fixed/Variable Annuity The
More information2018 CAPITAL GAINS DISTRIBUTION ESTIMATES
2018 CAPITAL GAINS DISTRIBUTION ESTIMATES Estimated amounts of upcoming capital gain distributions are shown below. Estimated distributions can change prior to the record date depending on current market
More informationHead Traders, Technical Contacts, Compliance Officers, Heads of ETF Trading, Structured Products Traders. Exchange-Traded Fund Symbol CUSIP #
Information Circular: PowerShares ETF Trust II To: From: Head Traders, Technical Contacts, Compliance Officers, Heads of ETF Trading, Structured Products Traders PHLX Listing Qualifications Department
More informationAuthorization to Convert a Non-Janus Henderson IRA to a Janus Henderson Roth IRA Form
Authorization to Convert a Non-Janus Henderson IRA to a Janus Henderson Roth IRA Form 800-525-1093 Use this form when converting your Traditional IRA from another institution directly to a Janus Henderson
More informationPerformance Update. ING VP Index Plus MidCap Portfolio - Class I % -2.82% 4.95% 15.15% 17.16% 6.18% 11.65% 12/16/1997 Small Blend
ING Life Insurance and Annuity Company South Carolina State Optional Retirement Plan Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of 10/31/2005 Y Variable annuities
More informationBrown Capital Management International Small Company Fund. Summary Prospectus July 30, CUSIP Number
Brown Capital Management International Small Company Fund Summary Prospectus July 30, 2018 Institutional Shares (BCSFX) CUSIP Number 115291759 Before you invest, you may want to review the Fund s Prospectus,
More informationFederated Mid-Cap Index Fund
Summary Prospectus December 31, 2018 The information contained herein relates to all classes of the Fund s Shares, as listed below, unless otherwise noted. Share Class Ticker Institutional FMCRX Service
More informationReality Shares DIVS ETF DIVY (NYSE Arca, Inc.)
Reality Shares DIVS ETF DIVY (NYSE Arca, Inc.) SUMMARY PROSPECTUS February 28, 2018 Before you invest in the Fund, as defined below, you may want to review the Fund s prospectus and statement of additional
More informationAAM/Phocas Real Estate Fund Class A (Ticker Symbol: APRAX) Class C (Ticker Symbol: APRCX) Class I (Ticker Symbol: APRIX)
1 AAM/Phocas Real Estate Fund Class A (Ticker Symbol: APRAX) Class C (Ticker Symbol: APRCX) Class I (Ticker Symbol: APRIX) Summary Prospectus August 27, 2018 Before you invest, you may want to review the
More informationVirtus Opportunities Trust
Virtus Opportunities Trust Supplement dated August 16, 2017 to the Summary and Statutory Prospectuses as indicated below, each dated April 10, 2017, as supplemented IMPORTANT NOTICE TO INVESTORS Effective
More informationSUMMARY PROSPECTUS. BlackRock Funds SM
MAY 31, 2018 SUMMARY PROSPECTUS BlackRock Funds SM Investor and Institutional BlackRock Real Estate Securities Fund Investor A: BAREX Investor C: BCREX Institutional: BIREX Before you invest, you may want
More informationDecember 31, Supplement to the Summary Prospectus and Prospectus Dated July 30, 2018
December 31, 2018 Brown Capital Management International Small Company Fund Investor Shares - BCSVX (a series of Brown Capital Management Mutual Funds) Supplement to the Summary Prospectus and Prospectus
More informationSample VA Asset Allocation Portfolio
International Fixed Portfolio 1 - Very Conservative 30% Risk Free 1-3 Gov. Bonds 1.58% 54% US Broad Aggregate Bonds 6.12% 9% US Stock S&P 500 6.32% 1% US Stock S&P 400 14.03% 1% US Stock Russell 2000 9.45%
More informationSTRATEGIES SUMMARY. Quarterly Portfolio Recommendations. Save The Date Quarterly Investment Review
STRATEGIES SUMMARY Quarterly Portfolio Recommendations Save The Date Quarterly Investment Review The Quarterly Investment Review will be pre-recorded. You will be able to download the multimedia presentation
More information1BALANCE ACCESS TO EXPERTISE ADAPTABILITY. THREE REASONS TO CONSIDER Multi-Strategy Income Fund
THREE REASONS TO CONSIDER Multi-Strategy Income Fund Class A share ticker: RMYAX Class C share ticker: RMYCX Class E share ticker: RMYEX Class S share ticker: RMYSX 1BALANCE Choose a diversified approach
More informationJANUS ANNOUNCES THIRD QUARTER 2008 RESULTS
October 23, 2008 JANUS ANNOUNCES THIRD QUARTER 2008 RESULTS ----------------------------------------------------- Third quarter earnings from continuing operations of $0.16 per diluted share, including
More informationNASHVILLE & DAVIDSON COUNTY
P E R F O R M A N C E U P D A T E NASHVILLE & DAVIDSON COUNTY Average Annual Total Returns as of: 07/31/2018 (shown in percentages) Mutual funds offered through a retirement plan are investments designed
More informationRetirement Plan Fee Summary
Retirement Plan Fee Summary As of 09/18/2014 Fee Paid By Plan Sponsor This represents the current billed amount of $7,020. 0.12% You've chosen to have this amount billed to you. How the fee is allocated
More informationINDEXIQ ETF TRUST. IQ Hedge Macro Tracker ETF IQ 50 Percent Hedged FTSE Europe ETF
INDEXIQ ETF TRUST IQ Hedge Multi-Strategy Tracker IQ U.S. Real Estate Small Cap ETF ETF IQ Hedge Macro Tracker ETF IQ 50 Percent Hedged FTSE Europe ETF IQ Hedge Long/Short Tracker ETF IQ 50 Percent Hedged
More informationComposition of Dividend Payment
Composition of Dividend Payment April 2018 Key investment risks to be considered before investing Janus Henderson Horizon Fund, as an umbrella fund, has within it different sub-funds investing primarily
More informationSUMMARY PROSPECTUS OCTOBER 26, 2018
OCTOBER 26, 2018 SUMMARY PROSPECTUS BlackRock Basic Value Fund, Inc. Investor, Institutional and Class R Investor A: MDBAX Investor C: MCBAX Institutional: MABAX Class R: MRBVX Before you invest, you may
More informationFederated Institutional High Yield Bond Fund
Summary Prospectus December 31, 2017 Share Class Ticker Institutional FIHBX R6 FIHLX Federated Institutional High Yield Bond Fund A Portfolio of Federated Institutional Trust Before you invest, you may
More informationCOLUMBIA MID CAP VALUE FUND
SUMMARY PROSPECTUS July 1, 2015 COLUMBIA MID CAP VALUE FUND CLASS Class A Shares Class B Shares Class C Shares Class I Shares Class K Shares Class R Shares Class R4 Shares Class R5 Shares Class W Shares
More informationFidelity Advisor Small Cap Fund Class/Ticker A/FSCDX M*/FSCTX C/FSCEX I/FSCIX Z/ FZAOX. Summary Prospectus. January 29, 2018 As Revised June 29, 2018
Fidelity Advisor Small Cap Fund Class/Ticker A/FSCDX M*/FSCTX C/FSCEX I/FSCIX Z/ FZAOX * This class name was formerly known as Class T. Summary Prospectus January 29, 2018 As Revised June 29, 2018 Before
More informationInvestment Option Fund Expenses
Investment Option Fund s Fees and expenses are as of 5/31/18. All Portfolios are not available in all products. (1) (2) (3) (4) (5) (6) (7) (8) Investment Options Share Class Investment Management Fee
More informationAutomatic Investment Program Enrollment Form
Automatic Investment Program Enrollment Form 800-525-3713 Use this form to establish an Automatic Investment Program (AIP) which allows you to make automatic investments into your Janus Henderson account
More informationJANUS RECEIVES APPROVAL FROM BERGER BOARD TO REORGANIZE VALUE FUNDS AND MERGE GROWTH FUNDS INTO THE JANUS FAMILY
Date: December 12, 2002 Contacts: Jane Ingalls, 303-394-7311 jane.ingalls@janus.com Blair Johnson, 720-210-1439 blair.johnson@janus.com Shelley Peterson, 303-316-5625 shelley.peterson@janus.com JANUS RECEIVES
More information2017 Janus Henderson FINAL Per Share Distribution Amounts
2017 Janus Henderson FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 21, 2017 to shareholders of record on December 20, 2017 for the Janus Henderson
More informationFor personal use only
Janus Henderson Group plc reports fourth quarter 2018 diluted EPS of US$0.54, or US$0.59 on an adjusted basis Fourth quarter net income of US$106.8 million, and adjusted net income of US$117.5 million,
More informationBaird Small/Mid Cap Value Fund. Summary Prospectus May 1, Trading Symbols: BMVSX Investor Class Shares BMVIX Institutional Class Shares
Baird Small/Mid Cap Value Fund Trading Symbols: BMVSX Investor Class Shares BMVIX Institutional Class Shares Summary Prospectus May 1, 2018 View the following for this fund: Statutory Prospectus Statement
More information2018 Janus Henderson FINAL Per Share Distribution Amounts
2018 Janus Henderson FINAL Per Share Distribution Amounts Attached are the final per share distribution amounts paid on December 18, 2018 to shareholders of record on December 17, 2018 for the Janus Henderson
More informationCommonwealth Extra a variable annuity issued by Genworth Life and Annuity Insurance Company
as of May 31, 2018 Commonwealth Extra 15608 06/01/18 (expires 07/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 7 IMPORTANT INFORMATION The following information is designed to help
More informationSUMMARY PROSPECTUS. BlackRock Liquidity Funds Institutional Shares FedFund Institutional: TFDXX OCTOBER 15, 2018
OCTOBER 15, 2018 SUMMARY PROSPECTUS BlackRock Liquidity Funds Institutional Shares FedFund Institutional: TFDXX Before you invest, you may want to review the Fund s prospectus, which contains more information
More information