Janus Henderson Global Allocation Fund - Moderate
Schedule of Investments (unaudited)
March 31, 2024
| Value | ||||||
Investment Companies£– 100.0% | |||||||
Equity Funds – 64.9% | |||||||
Janus Henderson Adaptive Global Allocation Fund - Class N Shares | 1,009,463 | $10,771,227 | |||||
Janus Henderson Adaptive Risk Managed U.S. Equity Fund - Class N Shares | 1,148,447 | 12,288,382 | |||||
Janus Henderson Asia Equity Fund - Class N Shares | 370,376 | 3,714,581 | |||||
Janus Henderson Contrarian Fund - Class N Shares | 241,957 | 6,794,539 | |||||
Janus Henderson Emerging Markets Fund - Class N Shares | 973,664 | 9,006,242 | |||||
Janus Henderson Enterprise Fund - Class N Shares | 49,748 | 7,179,777 | |||||
Janus Henderson European Focus Fund - Class N Shares | 116,920 | 5,571,218 | |||||
Janus Henderson Forty Fund - Class N Shares | 134,476 | 7,423,077 | |||||
Janus Henderson Global Equity Income Fund - Class N Shares | 1,427,874 | 8,881,336 | |||||
Janus Henderson Global Real Estate Fund - Class N Shares | 274,998 | 3,178,982 | |||||
Janus Henderson Global Research Fund - Class N Shares | 47,977 | 5,148,928 | |||||
Janus Henderson Global Select Fund - Class N Shares | 329,977 | 6,372,148 | |||||
Janus Henderson Growth and Income Fund - Class N Shares | 118,472 | 8,713,637 | |||||
Janus Henderson Overseas Fund - Class N Shares | 279,242 | 13,060,122 | |||||
Janus Henderson Small-Mid Cap Value Fund - Class N Shares | 427,962 | 6,916,099 | |||||
Janus Henderson Triton Fund - Class N Shares | 171,333 | 4,848,617 | |||||
Janus Henderson U.S. Dividend Income Fund - Class N Shares | 526,107 | 5,960,792 | |||||
125,829,704 | |||||||
Exchange-Traded Funds (ETFs) – 2.4% | |||||||
Janus Henderson AAA CLO | 93,960 | 4,767,530 | |||||
Fixed Income Funds – 32.2% | |||||||
Janus Henderson Developed World Bond Fund - Class N Shares | 5,380,590 | 41,376,722 | |||||
Janus Henderson Flexible Bond Fund - Class N Shares | 1,292,404 | 12,006,368 | |||||
Janus Henderson High-Yield Fund - Class N Shares | 194,911 | 1,411,157 | |||||
Janus Henderson Multi-Sector Income Fund - Class N Shares | 423,612 | 3,630,354 | |||||
Janus Henderson Short Duration Flexible Bond Fund - Class N Shares | 1,382,032 | 3,924,970 | |||||
62,349,571 | |||||||
Money Markets – 0.5% | |||||||
Janus Henderson Cash Liquidity Fund LLC, 5.3830%ºº | 930,447 | 930,633 | |||||
Total Investments (total cost $171,434,093) – 100.0% | 193,877,438 | ||||||
Liabilities, net of Cash, Receivables and Other Assets – (0)% | (45,451) | ||||||
Net Assets – 100% | $193,831,987 |
Schedules of Affiliated Investments – (% of Net Assets)
Dividend Income | Realized Gain/(Loss) | Capital Gain Distributions from Underlying Funds | Change in Unrealized Appreciation/ Depreciation | Value at 3/31/24 | |||||||
Investment Companies - 100.0% | |||||||||||
Equity Funds - 64.9% | |||||||||||
Janus Henderson Adaptive Global Allocation Fund - Class N Shares | $ | 414,566 | $ | 1,272 | $ | - | $ | 683,791 | $ | 10,771,227 | |
Janus Henderson Adaptive Risk Managed U.S. Equity Fund - Class N Shares | 70,153 | (69,953) | 357,528 | 1,096,508 | 12,288,382 | ||||||
Janus Henderson Asia Equity Fund - Class N Shares | 1,852 | (177,512) | - | 238,720 | 3,714,581 | ||||||
Janus Henderson Contrarian Fund - Class N Shares | 44,823 | 227,949 | 439,017 | 199,599 | 6,794,539 | ||||||
Janus Henderson Emerging Markets Fund - Class N Shares | 68,414 | (767,305) | - | 1,098,328 | 9,006,242 | ||||||
Janus Henderson Enterprise Fund - Class N Shares | - | (217) | 419,047 | 389,653 | 7,179,777 | ||||||
Janus Henderson European Focus Fund - Class N Shares | 133,816 | 57,354 | - | 693,773 | 5,571,218 | ||||||
Janus Henderson Forty Fund - Class N Shares | 24,707 | 271,606 | 553,640 | 747,710 | 7,423,077 | ||||||
Janus Henderson Global Equity Income Fund - Class N Shares | 438,090 | (48,135) | - | 356,753 | 8,881,336 | ||||||
Janus Henderson Global Real Estate Fund - Class N Shares | 91,108 | (244,653) | - | 339,737 | 3,178,982 | ||||||
Janus Henderson Global Research Fund - Class N Shares | 49,273 | 91,854 | 200,514 | 695,403 | 5,148,928 | ||||||
Janus Henderson Global Select Fund - Class N Shares | 87,664 | 167,339 | 399,923 | 671,415 | 6,372,148 | ||||||
Janus Henderson Growth and Income Fund - Class N Shares | 87,934 | 140,217 | 630,170 | 340,281 | 8,713,637 | ||||||
Janus Henderson Overseas Fund - Class N Shares | 164,454 | 858,752 | - | 239,290 | 13,060,122 | ||||||
Janus Henderson Small-Mid Cap Value Fund - Class N Shares | 64,737 | (72,497) | - | 1,179,225 | 6,916,099 | ||||||
Janus Henderson Triton Fund - Class N Shares | - | (43,669) | 311,876 | 220,171 | 4,848,617 | ||||||
Janus Henderson U.S. Dividend Income Fund - Class N Shares | 101,823 | 16,446 | - | 570,660 | 5,960,792 | ||||||
Total Equity Funds | $ | 1,843,414 | $ | 408,848 | $ | 3,311,715 | $ | 9,761,017 | $ | 125,829,704 | |
Exchange-Traded Funds (ETFs) - 2.4% | |||||||||||
Janus Henderson AAA CLO | 171,542 | 3,352 | - | 58,883 | 4,767,530 | ||||||
Fixed Income Funds - 32.2% | |||||||||||
Janus Henderson Developed World Bond Fund - Class N Shares | 198,115 | 4,241 | - | 589,828 | 41,376,722 | ||||||
Janus Henderson Flexible Bond Fund - Class N Shares | 517,343 | (287,073) | - | 167,466 | 12,006,368 | ||||||
Janus Henderson Global Bond Fund - Class N Shares | 632,942 | (8,401,564) | - | 7,984,640 | - | ||||||
Janus Henderson High-Yield Fund - Class N Shares | 64,710 | (10,041) | - | 48,917 | 1,411,157 | ||||||
Janus Henderson Multi-Sector Income Fund - Class N Shares | 86,036 | 815 | - | 49,006 | 3,630,354 | ||||||
Janus Henderson Short Duration Flexible Bond Fund - Class N Shares | 108,936 | (60,155) | - | 92,982 | 3,924,970 | ||||||
Total Fixed Income Funds | $ | 1,608,082 | $ | (8,753,777) | $ | - | $ | 8,932,839 | $ | 62,349,571 | |
Money Markets - 0.5% | |||||||||||
Janus Henderson Cash Liquidity Fund LLC, 5.3830%ºº | 32,021 | - | - | - | 930,633 | ||||||
Total Affiliated Investments - 100.0% | $ | 3,655,059 | $ | (8,341,577) | $ | 3,311,715 | $ | 18,752,739 | $ | 193,877,438 |
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Value at 6/30/23 | Purchases | Sales Proceeds | Value at 3/31/24 | |||||||
Investment Companies - 100.0% | ||||||||||
Equity Funds - 64.9% | ||||||||||
Janus Henderson Adaptive Global Allocation Fund - Class N Shares | 10,568,203 | 567,515 | (1,049,554) | 10,771,227 | ||||||
Janus Henderson Adaptive Risk Managed U.S. Equity Fund - Class N Shares | 11,052,160 | 1,194,010 | (984,343) | 12,288,382 | ||||||
Janus Henderson Asia Equity Fund - Class N Shares | 4,080,932 | 57,030 | (484,589) | 3,714,581 | ||||||
Janus Henderson Contrarian Fund - Class N Shares | 7,313,733 | 583,477 | (1,530,219) | 6,794,539 | ||||||
Janus Henderson Emerging Markets Fund - Class N Shares | 11,363,068 | 231,403 | (2,919,252) | 9,006,242 | ||||||
Janus Henderson Enterprise Fund - Class N Shares | 5,506,479 | 1,800,871 | (517,009) | 7,179,777 | ||||||
Janus Henderson European Focus Fund - Class N Shares | 3,036,451 | 2,332,591 | (548,951) | 5,571,218 | ||||||
Janus Henderson Forty Fund - Class N Shares | 5,725,518 | 2,106,717 | (1,428,474) | 7,423,077 | ||||||
Janus Henderson Global Equity Income Fund - Class N Shares | 5,283,368 | 3,946,069 | (656,719) | 8,881,336 | ||||||
Janus Henderson Global Real Estate Fund - Class N Shares | 4,318,573 | 147,314 | (1,381,989) | 3,178,982 | ||||||
Janus Henderson Global Research Fund - Class N Shares | 3,786,506 | 1,524,731 | (949,566) | 5,148,928 | ||||||
Janus Henderson Global Select Fund - Class N Shares | 6,646,549 | 576,095 | (1,689,250) | 6,372,148 | ||||||
Janus Henderson Growth and Income Fund - Class N Shares | 5,412,270 | 5,211,190 | (2,390,321) | 8,713,637 | ||||||
Janus Henderson Overseas Fund - Class N Shares | 12,994,370 | 1,898,812 | (2,931,102) | 13,060,122 | ||||||
Janus Henderson Small-Mid Cap Value Fund - Class N Shares | 7,145,641 | 156,852 | (1,493,122) | 6,916,099 | ||||||
Janus Henderson Triton Fund - Class N Shares | 4,406,443 | 767,178 | (501,506) | 4,848,617 | ||||||
Janus Henderson U.S. Dividend Income Fund - Class N Shares | 5,691,394 | 187,145 | (504,853) | 5,960,792 | ||||||
Exchange-Traded Funds (ETFs) - 2.4% | ||||||||||
Janus Henderson AAA CLO | 3,015,825 | 2,012,327 | (322,857) | 4,767,530 | ||||||
Fixed Income Funds - 32.2% | ||||||||||
Janus Henderson Developed World Bond Fund - Class N Shares | - | 41,379,606 | (596,953) | 41,376,722 | ||||||
Janus Henderson Flexible Bond Fund - Class N Shares | 18,813,049 | 725,395 | (7,412,469) | 12,006,368 | ||||||
Janus Henderson Global Bond Fund - Class N Shares | 46,390,269 | 1,107,463 | (47,080,808) | - | ||||||
Janus Henderson High-Yield Fund - Class N Shares | 1,116,081 | 368,898 | (112,698) | 1,411,157 | ||||||
Janus Henderson Multi-Sector Income Fund - Class N Shares | 644,661 | 3,081,723 | (145,851) | 3,630,354 | ||||||
Janus Henderson Short Duration Flexible Bond Fund - Class N Shares | 5,701,280 | 2,248,976 | (4,058,113) | 3,924,970 | ||||||
Money Markets - 0.5% | ||||||||||
Janus Henderson Cash Liquidity Fund LLC, 5.3830%ºº | 192,076 | 3,383,079 | (2,644,522) | 930,633 |
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Notes to Schedule of Investments (unaudited)
LLC | Limited Liability Company |
ºº | Rate shown is the 7-day yield as of March 31, 2024. |
£ | The Fund may invest in certain securities that are considered affiliated companies. As defined by the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the outstanding voting securities, or a company which is under common ownership or control. |
The following is a summary of the inputs that were used to value the Fund’s investments in securities and other financial instruments as of March 31, 2024. | ||||||||||||
Valuation Inputs Summary | ||||||||||||
Level 2 - | Level 3 - | |||||||||||
Level 1 - | Other Significant | Significant | ||||||||||
Quoted Prices | Observable Inputs | Unobservable Inputs | ||||||||||
Assets | ||||||||||||
Investments In Securities: | ||||||||||||
Investment Companies | ||||||||||||
Equity Funds | $ | 125,829,704 | $ | - | $ | - | ||||||
Exchange-Traded Funds (ETFs) | 4,767,530 | - | - | |||||||||
Fixed Income Funds | 62,349,571 | - | - | |||||||||
Money Markets | - | 930,633 | - | |||||||||
Total Assets | $ | 192,946,805 | $ | 930,633 | $ | - | ||||||
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Investment Valuation
The Fund’s net asset value (“NAV”) is calculated based upon the NAV of each of the underlying funds in which the Fund invests on the day of valuation. The NAV for each class of the underlying funds is computed by dividing the total value of securities and other assets allocated to the class, less liabilities allocated to that class, by the total number of shares outstanding for the class.
Valuation Inputs Summary
FASB ASC 820, Fair Value Measurements and Disclosures (“ASC 820”), defines fair value, establishes a framework for measuring fair value, and expands disclosure requirements regarding fair value measurements. This standard emphasizes that fair value is a market-based measurement that should be determined based on the assumptions that market participants would use in pricing an asset or liability and establishes a hierarchy that prioritizes inputs to valuation techniques used to measure fair value. These inputs are summarized into three broad levels:
Level 1 – Unadjusted quoted prices in active markets the Fund has the ability to access for identical assets or liabilities.
Level 2 – Observable inputs other than unadjusted quoted prices included in Level 1 that are observable for the asset or liability either directly or indirectly. These inputs may include quoted prices for the identical instrument on an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates and similar data.
Level 3 – Unobservable inputs for the asset or liability to the extent that relevant observable inputs are not available, representing the Fund’s own assumptions about the assumptions that a market participant would use in valuing the asset or liability, and that would be based on the best information available.
The Fund classifies each of its investments in underlying funds as Level 1, without consideration as to the classification level of the specific investments held by the underlying funds. There have been no significant changes in valuation techniques used in valuing any such positions held by the Fund since the beginning of the fiscal period.
The inputs or methodology used for fair valuing securities are not necessarily an indication of the risk associated with investing in those securities. The summary of inputs used as of March 31, 2024 to fair value the Fund’s investments in securities and other financial instruments is included in the “Valuation Inputs Summary” in the Notes to Schedule of Investments.
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For additional information on the Fund, please refer to the Fund’s most recent semiannual or annual shareholder report.
125-35-70271 05-24 |