Janus Henderson US Balanced 2026 Fund
The Fund’s investment objective is l is total return (income and capital growth), over the 7 year term. It pursues its objective by investing 55% - 75% of its net asset value in Debt Securities and 25% - 45% of its net asset value in equities (also known as company shares). At least 75% of its net asset value is invested in US companies and US issuers and loan participations. This Fund may invest up to 25% of its net asset value in Debt Securities rated below investment grade. The aggregate amount of the Fund which may be invested in securities traded on the Developing Markets is 10% of the net asset value. The Fund may employ investment techniques and instruments for investment purposes, such as trading in futures, options and swaps and other financial derivative instruments, subject to a limit of up to 10% of its net asset value and subject to the conditions and within the limits from time to time laid down by the Central Bank.