The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.

Size: px
Start display at page:

Download "The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law."

Transcription

1 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 listed below. 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) CUSIP Ticker Fund A Shares & 47103C761 JDFAX 47103E486 JGBAX 47103C597 JHYAX 47103D546 JMUAX JSHAX 47103D462 JUCAX 47103A252 JURAX (2) Multi-Sector Fund $ $ $ $ $

3 Janus Fund (C Shares) CUSIP Ticker Fund C Shares & 47103C753 JFICX 47103E478 JGBCX 47103C589 JDHCX 47103D538 JMUCX JSHCX 47103D454 JUCCX 47103A245 JURCX (2) Multi-Sector Fund $ $ $ $ $

4 Janus Fund (D Shares) CUSIP Ticker Fund D Shares * & 47103E E E D E D A E E791 JANFX JGBDX JNHYX JMUDX JNSTX JUCDX JURDX JGVXX JNMXX (2) Multi-Sector Fund $ $ $ $ $ (2) Government Money Market Fund $ $ $ $ $ (2) Money Market Fund $ $ $ $ $ * Closed to certain new investors.

5 Janus Fund (I Shares) CUSIP Ticker Fund I Shares & 47103C746 JFLEX 47103E452 JGBIX 47103C571 JHYFX 47103D512 JMUIX JSHIX 47103D439 JUCIX 47103A229 JURIX (2) Multi-Sector Fund $ $ $ $ $

6 Janus Fund (N Shares) CUSIP Ticker Fund N Shares & 47103D D D D D D421 JDFNX JGLNX JHYNX JMTNX JSHNX JUCNX (2) Multi-Sector Fund $ $ $ $ $

7 Janus Fund (R Shares) CUSIP Ticker Fund R Shares & 47103C D C563 JDFRX JUCRX JHYRX

8 Janus Fund (S Shares) CUSIP Ticker Fund S Shares & 47103C720 JADFX 47103E445 JGBSX 47103C555 JDHYX 47103D488 JMUSX JSHSX 47103D413 JUCSX 47103A237 JURSX (2) Multi-Sector Fund $ $ $ $ $

9 Janus Fund (T Shares) CUSIP Ticker Fund T Shares & JAFIX 47103E437 JHBTX JAHYX 47103D470 JMUTX JASBX 47103D397 JUCTX 47103A211 JURTX JAGXX JAMXX (2) Multi-Sector Fund $ $ $ $ $ (2) Government Money Market Fund $ $ $ $ $ (2) Money Market Fund $ $ $ $ $

10 If you have additional questions, kindly contact us as follows: Intermediary clients (financial institutions, B/D, financial advisors, RIAs etc.), please call your Janus representative at JANUS (52687). 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. 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. Janus Distributors LLC C /30/

The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.

The 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 information

2017 Janus Henderson Funds FINAL Per Share Distribution Amounts

2017 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 information

The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.

The 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 information

The funds intend to distribute the maximum amount of dividends qualifying for the 15% rate allowable under the law.

The 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 information

The Janus asset allocation funds will distribute on December 27, 2013 to shareholders of record on December 26, 2013.

The 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 information

The regular monthly dividend for the Perkins Value Plus Income Fund and the INTECH Global Dividend Fund will be paid on December 31, 2012.

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 information

The regular monthly dividend for the Perkins Value Plus Income Fund and the INTECH Global Dividend Fund will be paid on December 31, 2013.

The regular monthly dividend for the Perkins Value Plus Income Fund and the INTECH Global Dividend Fund will be paid on December 31, 2013. 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

More information

2017 Janus Henderson Estimated Per Share Distribution Amounts

2017 Janus Henderson Estimated Per Share Distribution Amounts 2017 Janus Henderson Estimated Per Share Distribution Amounts The Janus Henderson preliminary year-end distribution estimates to be paid in December 2017 are shown below. Please note that these estimates

More information

The Janus asset allocation funds will distribute on December 28, 2012 to shareholders of record on December 27, 2012.

The 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 information

The Janus preliminary year-end distribution estimates to be paid in December 2015 are shown below.

The 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 information

4Q17 Fixed Income BOND FUND FLEXIBLE. 30 Years of Fundamental Fixed Income Investing A: JDFAX C: JFICX I: JFLEX N: JDFNX R: JDFRX S: JADFX T: JAFIX

4Q17 Fixed Income BOND FUND FLEXIBLE. 30 Years of Fundamental Fixed Income Investing A: JDFAX C: JFICX I: JFLEX N: JDFNX R: JDFRX S: JADFX T: JAFIX 4Q17 Fixed Income FLEXIBLE BOND FUND 30 Years of Fundamental Fixed Income Investing A: JDFAX C: JFICX I: JFLEX N: JDFNX R: JDFRX S: JADFX T: JAFIX Flexible Bond Fund Portfolio at a Glance Highlights Dynamic

More information

The Janus asset allocation funds will distribute on December 28, 2016 to shareholders of record on December 27, 2016.

The 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 information

Dividend and Distribution Information 9/29/2017

Dividend 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 information

2019 Janus Investment Funds Monthly Per Share Distribution Amounts

2019 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 information

The Emerging Market Conundrum

The 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 information

JANUS CAPITAL GROUP INC. ANNOUNCES FOURTH QUARTER AND FULL YEAR 2014 RESULTS

JANUS 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 information

PGIM INVESTMENTS UPDATE

PGIM 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 information

BALANCED FUND. 25 Years of Dynamic Asset Allocation. 4Q17 Asset Allocation. Overall Morningstar Rating TM

BALANCED 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 information

DIVIDEND COMPOSITION INFORMATION

DIVIDEND 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 information

GOLDMAN SACHS TRUST. Effective July 28, 2017, the Funds Prospectuses and SAIs are revised as follows:

GOLDMAN 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 information

Virtus Opportunities Trust

Virtus 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 information

2018 AQR Funds Supplemental Tax Information

2018 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 information

Multi-Asset Income NFMAX NFMCX NFMIX. December NLD Review Code: 5088-NLD-02/03/2016 Newfound Case ID:

Multi-Asset Income NFMAX NFMCX NFMIX. December NLD Review Code: 5088-NLD-02/03/2016 Newfound Case ID: Multi-Asset Income NFMAX NFMCX NFMIX NLD Review Code: 5088-NLD-02/03/2016 Newfound Case ID: 4226941 1 December 2015 The Newfound Mission Defensive Simple Consistent Thoughtful In August 2008, Newfound

More information

2017 Janus Henderson FINAL Per Share Distribution Amounts

2017 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 information

2018 Rollover/Transfer Bonus Contract

2018 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 information

The Value Line Tax Exempt Fund, Inc.

The Value Line Tax Exempt Fund, Inc. The Value Line Tax Exempt Fund, Inc. (Ticker Symbol: VLHYX) SUMMARY PROSPECTUS JULY 1, 2012 #00086626. FUND SUMMARY Investment objectives Fees and expenses The primary investment objective of The Value

More information

Portfolio Optimization Aggressive-Growth Portfolio

Portfolio Optimization Aggressive-Growth Portfolio Summary Prospectus May 1, 2018 Class I Shares Portfolio Optimization Aggressive-Growth Portfolio This summary prospectus is intended for use in connection with variable life insurance policies and variable

More information

SEPTEMBER 28, 2017 SUPPLEMENT TO THE FOLLOWING SUMMARY PROSPECTUSES DATED MAY 1, 2017:

SEPTEMBER 28, 2017 SUPPLEMENT TO THE FOLLOWING SUMMARY PROSPECTUSES DATED MAY 1, 2017: SEPTEMBER 28, 2017 SUPPLEMENT TO THE FOLLOWING SUMMARY PROSPECTUSES DATED MAY 1, 2017: HARTFORD BALANCED HLS FUND HARTFORD MIDCAP HLS FUND HARTFORD CAPITAL APPRECIATION HLS FUND HARTFORD MIDCAP VALUE HLS

More information

ICM Small Company Portfolio

ICM 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 information

Class 1 Shares Class 2 Shares Investor Class Shares. Class 1 shares Class 2 shares Class 3 shares Class 4 shares Investor Class shares

Class 1 Shares Class 2 Shares Investor Class Shares. Class 1 shares Class 2 shares Class 3 shares Class 4 shares Investor Class shares TOPS Conservative ETF Portfolio TOPS Balanced ETF Portfolio TOPS Moderate Growth ETF Portfolio TOPS Growth ETF Portfolio TOPS Aggressive Growth ETF Portfolio Class 1 Shares Class 2 Shares Investor Class

More information

Victory Portfolios Mutual Fund Pricing Policies

Victory 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 information

Janus Investment Fund

Janus Investment Fund October 26, 2012 Money Market Janus Government Money Market Fund... Janus Money Market Fund... Class T Shares Ticker JAGXX JAMXX Janus Investment Fund Prospectus The Securities and Exchange Commission

More information

First Name Middle Initial Last Name. Street Number Street Name Apartment Number. City State Zip Code

First 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 information

Fidelity Variable Insurance Products Freedom 2040 Portfolio Initial Class, Service Class, and Service Class 2. Summary Prospectus.

Fidelity Variable Insurance Products Freedom 2040 Portfolio Initial Class, Service Class, and Service Class 2. Summary Prospectus. Fidelity Variable Insurance Products Freedom 2040 Portfolio Initial Class, Service Class, and Service Class 2 Summary Prospectus April 30, 2018 Before you invest, you may want to review the fund s prospectus,

More information

First Trust NASDAQ Technology Dividend Index Fund

First Trust NASDAQ Technology Dividend Index Fund EDGA & EDGX STOCK EXCHANGES Regulatory Information Circular Circular Number: 2012-075 Contact: Jeff Rosenstrock Date: August 14, 2012 Telephone: (201) 942-8295 Subject: Multi-Asset Diversified Income Index

More information

Vanguard Variable Insurance Fund Diversified Value Portfolio Summary Prospectus

Vanguard 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 information

GOLDMAN SACHS TRUST R6SHRESDISTR 10-17

GOLDMAN 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 information

SPDR Morningstar Multi- Asset Global Infrastructure UCITS ETF

SPDR Morningstar Multi- Asset Global Infrastructure UCITS ETF SSGA SPDR ETFs Europe II Plc 16 May 2018 SPDR Morningstar Multi- Asset Global Infrastructure UCITS ETF Supplement No. 23 (A sub-fund of SSGA SPDR ETFs Europe II plc (the Company ) an open-ended investment

More information

Important Information about your Capital Gain and Dividend Distributions Corporate Dividends Received Deduction Information...

Important 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 information

Vanguard Variable Insurance Fund Balanced Portfolio Summary Prospectus

Vanguard Variable Insurance Fund Balanced Portfolio Summary Prospectus Vanguard Variable Insurance Fund Balanced Portfolio Summary Prospectus April 29, 2016 The Fund s statutory Prospectus and Statement of Additional Information dated April 29, 2016, as may be amended or

More information

Information for Completing Your 2017 Tax Return

Information 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 information

Cost Basis Explained Important Information about your Capital Gain and Dividend Distributions Other Important Key Terms...

Cost 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 information

Portfolio Optimization Conservative Portfolio

Portfolio Optimization Conservative Portfolio Summary Prospectus May 1, 2018 Class I Shares Portfolio Optimization Conservative Portfolio This summary prospectus is intended for use in connection with variable life insurance policies and variable

More information

Q Performance Report

Q Performance Report Q1 2018 Performance Report Generated by: NASDAQ: TIPRX (A Shares) Investing in the Fund involves risks, including the risk that you may receive little or no return on your investment or that you may lose

More information

SUMMARY PROSPECTUS. May 1, 2018

SUMMARY PROSPECTUS. May 1, 2018 SUMMARY PROSPECTUS May 1, 2018 REMS REAL ESTATE INCOME 50/50 FUND INSTITUTIONAL SHARES (Ticker: RREIX) PLATFORM SHARES (Ticker: RREFX) Z SHARES (Ticker: RREZX) Before you invest, you may want to review

More information

EDGA & EDGX STOCK EXCHANGES

EDGA & EDGX STOCK EXCHANGES EDGA & EDGX STOCK EXCHANGES Regulatory Information Circular Circular Number: 2010-004 Contact: Jeff Rosenstrock Date: July 8, 2010 Telephone: (201) 942-8295 Subject: Claymore Wilshire 4500 Completion ETF

More information

QUARTERLY COMMENTARY HEARTLAND VALUE FUND

QUARTERLY COMMENTARY HEARTLAND VALUE FUND HEARTLAND VALUE FUND d. *Prior to October 2009, index domestic equity ETF data included fewer than 7 actively managed domestic equity ETFs. Exchange Traded Fund (ETF) Source: Investment Company Institute,

More information

COLUMBIA MID CAP VALUE FUND

COLUMBIA 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 information

GIPS List of Composite Descriptions

GIPS List of Composite Descriptions GIPS List of Composite Descriptions Updated 5/12/14 Concentrated Growth Composite-330 Concentrated Growth portfolios, benchmarked to the Russell 1000 Growth Index, take concentrated positions in larger

More information

Invesco Announces Changes to Fund Names, Sales Charges and Share Classes

Invesco Announces Changes to Fund Names, Sales Charges and Share Classes July 23, 2012 Invesco Announces Changes to Fund Names, Sales Charges and Share Classes Invesco announces several planned changes that are designed to simplify our fund branding, clarify sales charge schedules,

More information

RIDGEWORTH FUNDS (collectively, the Funds )

RIDGEWORTH FUNDS (collectively, the Funds ) RIDGEWORTH FUNDS (collectively, the Funds ) Supplement dated June 1, 2017 to the Summary Prospectuses and Prospectuses dated August 1, 2016 or March 31, 2017 and the Statement of Additional Information

More information

Investment Overview Brochure

Investment Overview Brochure Investment Overview Brochure This material is neither an offer to sell nor the solicitation of an offer to buy any security. Such an offer can be made only by prospectus, which has been filed with the

More information

PACER 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 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 information

Subsequent Years Distribution* Initial

Subsequent Years Distribution* Initial ¹A premium occurs when an underlying fund s market price is higher than its, and a discount occurs when an underlying fund s market price is lower than its. CUSIPs Fee CUSIPs Ticker Income Target Global

More information

Sustainability Report

Sustainability 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 information

HEARTLAND VALUE FUND

HEARTLAND VALUE FUND HEARTLAND VALUE FUND An investor should consider the Fund s investment objectives, risks, and charges and expenses carefully before investing or sending money. This and other important information can

More information

TOPS Managed Risk Balanced ETF Portfolio TOPS Managed Risk Moderate Growth ETF Portfolio TOPS Managed Risk Growth ETF Portfolio

TOPS Managed Risk Balanced ETF Portfolio TOPS Managed Risk Moderate Growth ETF Portfolio TOPS Managed Risk Growth ETF Portfolio TOPS Managed Risk Balanced ETF Portfolio TOPS Managed Risk Moderate Growth ETF Portfolio TOPS Managed Risk Growth ETF Portfolio Class 3 shares Class 4 shares PROSPECTUS May 1, 2017 1-855-572-5945 This

More information

PNC Target Date Funds. Making Saving for Retirement Simpler for You

PNC Target Date Funds. Making Saving for Retirement Simpler for You PNC Target Date Funds Making Saving for Retirement Simpler for You Walking With You on the Path to Retirement We understand that with the number and variety of retirement savings options available to you,

More information

ETN Ticker: REML. July 11, Credit Suisse AG FTSE NAREIT All Mortgage Capped Index (price return)

ETN Ticker: REML. July 11, Credit Suisse AG FTSE NAREIT All Mortgage Capped Index (price return) July 11, 2016 X-Links Monthly Pay 2xLeveraged Mortgage REIT ETN ETN Ticker: REML Key Features Monthly compounded 2x leveraged exposure to the FTSE NAREIT All Mortgage Capped Index, which is composed of

More information

Issued by RiverSource Life Insurance Co. of New York (RiverSource Life of NY) ARE NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY

Issued 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 information

Composition of Dividend Payment

Composition 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 information

COLUMBIA SELECT MID CAP VALUE FUND

COLUMBIA SELECT MID CAP VALUE FUND SUMMARY PROSPECTUS July 1, 2018 COLUMBIA SELECT MID CAP VALUE FUND (FORMERLY KNOWN AS COLUMBIA MID CAP VALUE FUND) CLASS A Advisor (Class Adv) (a) C Institutional (Class Inst) (a) Institutional 2 (Class

More information

2017 Percentage of Income from U.S. Government Securities

2017 Percentage of Income from U.S. Government Securities IMPORTANT TAX INFORMATION Updated March 2018, to include Strategic Advisers and Asset Allocation funds. 2017 Percentage of Income from U.S. Government Securities Information for state tax reporting We

More information

Federated Prudent Bear Fund

Federated Prudent Bear Fund Summary Prospectus November 30, 2017 The information contained herein relates to all classes of the Fund s Shares, as listed below, unless otherwise noted. Share Class Ticker A BEARX C PBRCX Institutional

More information

2018 Janus Henderson FINAL Per Share Distribution Amounts

2018 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 information

1BALANCE ACCESS TO EXPERTISE ADAPTABILITY. THREE REASONS TO CONSIDER Multi-Strategy Income Fund

1BALANCE 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 information

VALUE FUND SUMMARY PROSPECTUS APRIL 30, 2018 CLASS A(TICKER: AVFAX) CLASS I (TICKER: AVALX)

VALUE FUND SUMMARY PROSPECTUS APRIL 30, 2018 CLASS A(TICKER: AVFAX) CLASS I (TICKER: AVALX) VALUE FUND CLASS A(TICKER: AVFAX) CLASS I (TICKER: AVALX) SUMMARY PROSPECTUS APRIL 30, 2018 Before you invest, you may want to review the Aegis Value Fund s (the Fund ) Statutory Prospectus, which contains

More information

Federal Taxes & Municipal Bonds Historical & Current Perspective

Federal Taxes & Municipal Bonds Historical & Current Perspective Federal Taxes & Municipal Bonds Historical & Current Perspective November 17, 2009 by Munder Capital Management With income tax increases seemingly around the corner given the budget deficit and a potentially

More information

October

October October 2017 WWW.VERSUSCAPITAL.COM Versus Capital Multi-Manager Real Estate Income Fund Real Estate was an asset class long before stocks and bonds became the investment of choice In fact, stocks and bonds

More information

Virtus Alternative Solutions Trust

Virtus Alternative Solutions Trust Virtus Alternative Solutions Trust Supplement dated August 16, 2017 to the Summary and Statutory Prospectuses as indicated below, dated April 10, 2017, as supplemented IMPORTANT NOTICE TO INVESTORS Effective

More information

ALTEGRIS FIXED INCOME LONG SHORT FUND. TRUSTED ALTERNATIVES. INTELLIGENT INVESTING.

ALTEGRIS FIXED INCOME LONG SHORT FUND. TRUSTED ALTERNATIVES. INTELLIGENT INVESTING. It s time to diversify interest rate risk. ALTEGRIS FIXED INCOME LONG SHORT FUND. TRUSTED ALTERNATIVES. INTELLIGENT INVESTING. Altegris Fixed Income Long Short Fund A Fixed Income Alternative. Taking a

More information

Janus Aspen Series. Prospectus. April 30, 2018

Janus Aspen Series. Prospectus. April 30, 2018 April 30, 2018 Janus Henderson Flexible Bond Portfolio... (formerly named Flexible Bond Portfolio) Service Shares Ticker N/A Janus Aspen Series Prospectus The Securities and Exchange Commission has not

More information

Closed-End Strategy: Master Municipal Income Portfolio National Series 24

Closed-End Strategy: Master Municipal Income Portfolio National Series 24 Closed-End Strategy: Master Income Portfolio, Series 28 Closed-End Strategy: Master Municipal Income Portfolio National Series 24 Closed-End Strategy: Value Equity and Income Portfolio 2011-3 Closed-End

More information

Value Line Emerging Opportunities Fund, Inc.

Value Line Emerging Opportunities Fund, Inc. Value Line Emerging Opportunities Fund, Inc. (Ticker Symbol: VLEOX) SUMMARY PROSPECTUS AUGUST 1, 2012 Before you invest, you may want to review the Fund s Prospectus and Statement of Additional Information,

More information

SUMMARY PROSPECTUS. BlackRock Basic Value Fund, Inc. Class K Shares Class K: MBVKX OCTOBER 26, 2018

SUMMARY 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 information

Janus Aspen Series. Prospectus. May 1, 2013

Janus Aspen Series. Prospectus. May 1, 2013 May 1, 2013 Balanced Portfolio... Service Shares Ticker N/A Janus Aspen Series Prospectus The Securities and Exchange Commission has not approved or disapproved of these securities or passed on the accuracy

More information

FUNDS TM. Currency Funds: White Paper. Special Case International Bond Funds. The Authority on Currencies. Merk Investments LLC Research February 2012

FUNDS TM. Currency Funds: White Paper. Special Case International Bond Funds. The Authority on Currencies. Merk Investments LLC Research February 2012 White Paper Merk Investments LLC Research February 2012 Currency Funds: Special Case International Bond Funds FUNDS TM The Authority on Currencies Currency Funds May Help Mitigate Interest and Credit Risk

More information

Federated MDT Stock Trust

Federated MDT Stock Trust Summary Prospectus June 29, 2016 Share Class R6 Ticker FSTLX Federated MDT Stock Trust Before you invest, you may want to review the Fund s Prospectus, which contains more information about the Fund and

More information

Schwab OneSource Variable Annuity New York Investment Performance as of 12/31/2018

Schwab OneSource Variable Annuity New York Investment Performance as of 12/31/2018 Schwab OneSource Variable Annuity New York - 9000609-06 Investment Performance as of 2//208 Current performance may be lower or higher than performance data shown. Performance data quoted represents past

More information

North Square Oak Ridge Small Cap Growth Fund. Oak Ridge International Small Cap Fund Oak Ridge Dynamic Small Cap Fund

North Square Oak Ridge Small Cap Growth Fund. Oak Ridge International Small Cap Fund Oak Ridge Dynamic Small Cap Fund Oak Ridge Small Cap Growth Fund Oak Ridge International Small Cap Fund Oak Ridge Dynamic Small Cap Fund Oak Ridge Disciplined Growth Fund Oak Ridge Multi Strategy Fund Oak Ridge Dividend Growth Fund Oak

More information

PACIFIC SELECT FUND PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO

PACIFIC SELECT FUND PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO Quarterly Profile - As of September 30, 2018 INVESTMENT GOAL: Seeks current income and preservation of capital INVESTOR PROFILE: Clients who are looking for

More information

POLARIS. 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 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 information

Manning & Napier Fund, Inc. Target 2060 Series Class K

Manning & Napier Fund, Inc. Target 2060 Series Class K Target 2060 Series Class K Fund Facts Ticker CUSIP MTKKX 56382R779 Inception Date 09/21/2015 Fund Manager Team Approach Investment Minimum* $2,000 Before Fee Waiver 10.50% After Fee Waiver** 1.13% *May

More information

PACIFIC SELECT FUND PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO

PACIFIC SELECT FUND PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO Quarterly Profile - As of December 31, 2017 INVESTMENT GOAL: Seeks current income and preservation of capital INVESTOR PROFILE: Clients who are looking for

More information

Investment Process Overview WBI Power Factor High Dividend ETF (ticker: WBIY)

Investment Process Overview WBI Power Factor High Dividend ETF (ticker: WBIY) Investment Process Overview WBI Power Factor High Dividend ETF (ticker: WBIY) BENEFITS OF DIVIDEND-PAYING STOCKS LESS RISING PRICE COMPOUNDING VOLATILITY INCOME APPRECIATION POWER Dividends can be a powerful

More information

THE ADVISORS INNER CIRCLE FUND. Hamlin High Dividend Equity Fund (the Fund )

THE ADVISORS INNER CIRCLE FUND. Hamlin High Dividend Equity Fund (the Fund ) THE ADVISORS INNER CIRCLE FUND Hamlin High Dividend Equity Fund (the Fund ) Supplement dated January 9, 2019 to the Fund s Institutional Class Shares Summary Prospectus and Investor Class Shares Summary

More information

EDGA & EDGX STOCK EXCHANGES

EDGA & EDGX STOCK EXCHANGES EDGA & EDGX STOCK EXCHANGES Regulatory Information Circular Circular Number: 2010-073 Contact: Jeff Rosenstrock Date: July 14, 2010 Telephone: (201) 942-8295 Subject: Grail RP Financials ETF Grail RP Focused

More information

Credit Union Investment Trends

Credit Union Investment Trends Credit Union Investment Trends The investment trends and information included in this review are for all U.S. credit unions. Data is as of June 30, 2017. Published September 5, 2017 1 Total Credit Union

More information

Intelligent Life Variable Universal Life Insurance Intelligent Life Survivorship Variable Universal Life Insurance

Intelligent 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 information

Learn how a Putnam IRA can help you save for retirement. Traditional and Roth

Learn how a Putnam IRA can help you save for retirement. Traditional and Roth Learn how a Putnam IRA can help you save for retirement Traditional and Roth How will you use your IRA savings? A recent study surveyed Traditional IRA owners about how they have used withdrawals. Living

More information

PACER 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 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 information

Investment Option Summary

Investment Option Summary Investment Option Summary As of 12/31/2017 Contract/Plan ID Number: 5-21917 This document provides important information to help you compare the investment options available to you under the retirement

More information

PACER 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 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 information

PACER 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 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 information

Multi-Manager Global Real Estate Fund (NMMGX) 3Q 2018 Performance Review

Multi-Manager Global Real Estate Fund (NMMGX) 3Q 2018 Performance Review NORTHERN FUNDS Multi-Manager Global Real Estate Fund (NMMGX) 3Q 2018 Performance Review September 30, 2018 Please carefully read the prospectus and summary prospectus and consider the investment objectives,

More information

2017 Estimated capital gains distributions as of 11/17/17

2017 Estimated capital gains distributions as of 11/17/17 2017 Estimated capital gains distributions as of 11/17/17 The following pages list estimated capital gain payments for the Deutsche funds, payable to shareholders as of the dates indicated. These estimates

More information

Closed End Funds: Access vs. alpha

Closed End Funds: Access vs. alpha Closed End Funds: Access vs. alpha NOT FDIC INSURED NOT BANK GUARANTEED MAY LOSE VALUE First Trust CEF Income Opportunity ETFS LAUNCHED SEPTEMBER 27, 2016 First Trust CEF Income Opportunity ETF (ticker:

More information

Loomis Sayles Funds Distribution Update

Loomis Sayles Funds Distribution Update July 2018 Loomis Sayles Funds Distribution Update Background Since early 2015, monthly or quarterly ordinary income distributions for certain Loomis Sayles-managed fixedincome funds have been below historic

More information

The following document is for a Federated Fund that is no longer available for purchase.

The following document is for a Federated Fund that is no longer available for purchase. The following document is for a Federated Fund that is no longer available for purchase. Summary Prospectus January 17, 2017 Share Class A Institutional Service R6 Ticker FSTRX FMSTX FSTKX FSTLX Federated

More information

The investment trends and information included in this review are for all U.S. credit unions. Data is as of June 30, 2018.

The investment trends and information included in this review are for all U.S. credit unions. Data is as of June 30, 2018. The investment trends and information included in this review are for all U.S. credit unions. Data is as of June 30, 2018. Published August 27 th, 2018 Total Credit Union Investments Balances fall in the

More information