Please ensure Javascript is enabled for purposes of website accessibility Horizon Pan European Property Equities Fund - Janus Henderson Investors
For investors in Hong Kong

Horizon Pan European Property Equities Fund

Actively managed fund focused on the managers’ best ideas in European listed property stocks and REITs to deliver long-term capital appreciation

ISIN
LU0088927925

NAV
EUR 50.10
As of 2024/04/18

1-Day Change
EUR -0.04 (-0.08%)
As of 2024/04/18

Morningstar Rating

As of 2024/03/31

Key investment risks:

  • The Fund's investments in equities are subject to equity securities risk due to fluctuation of securities values.
  • Investments in the Fund involve general investment, currency, liquidity, hedging, market, economic, political, regulatory, taxation, securities lending related, reverse repurchase transactions related, financial, interest rate and small/

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  • mid-capitalisation companies related risks. In extreme market conditions, you may lose your entire investment.
  • The Fund may invest in financial derivatives instruments to reduce risk and to manage the Fund more efficiently. This may involve counterparty, liquidity, leverage, volatility, valuation and over-the-counter transaction risks and the Fund may suffer significant losses.
  • The Fund’s investments are concentrated in European property sector (may include small/ mid capitalization companies). It may be more volatile and subject to property securities related risk.
  • The Fund may invest in Eurozone and may suffer from Eurozone risk.
  • The directors may at its discretion pay distributions out of gross investment income and net realised/ unrealised capital gains while charging all or part of the fees and expenses to the capital, resulting in an increase in distributable income for the payment of distributions and therefore, the Fund may effectively pay distributions out of capital. This amounts to a return or withdrawal of part of an investor's original investment or from any capital gains attributable to that original investment, and may result in an immediate reduction of the Fund’s net asset value per share.
  • The Fund may charge performance fees . An investor may be subject to such fee even if there is a loss in investment capital.
  • Investors should not only base on this document alone to make investment decisions and should read the offering documents including the risk factors for further details.

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Overview

INVESTMENT OBJECTIVE

The Fund aims to provide capital growth over the long term.

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The Fund invests at least 75% of its assets in a concentrated portfolio of shares (equities) and equity-related securities of real estate investment trusts (REITs) and companies, which have their registered offices in the EEA or the UK if not part of the EEA which will derive the main part of their revenue from owning, developing and managing real estate in Europe.

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ABOUT THIS FUND

  • A broad investable universe and selective approach enables the team to identify stocks with attractive dividend yield and growth characteristics
  • Managed by a specialist team based in the UK and supported by the wider global property equities teams in the US and Singapore
  • Offers a liquid means of diversifying into real estate and benefitting from powerful secular themes influencing the asset class

PORTFOLIO MANAGEMENT

Guy Barnard, CFA

Co-Head of Global Property Equities | Portfolio Manager

Industry since 2003. Joined Firm in 2006.

Nicolas Scherf

Portfolio Manager

Industry since 2007. Joined Firm in 2014.

Performance

Cumulative Performance (%)
As of 2024/03/31
A2 EUR
 
  Cumulative
  1MO 3MO 6MO YTD 1YR 3YR 5YR Since Inception
1998/07/01
A2 EUR 6.56 -2.33 19.31 -2.33 22.32 -8.43 5.18 416.54
Calendar Year Returns (%)
As of 2024/03/31
A2 EUR
2023 2022 2021 2020 2019
A2 EUR 19.43 -37.37 27.38 -3.93 35.60
Calendar Year Returns (%)
Year A2 EUR Index
2023 19.43 16.34
2022 -37.37 -36.57
2021 27.38 18.49
2020 -3.93 -10.74
2019 35.60 28.52
2018 -5.62 -8.40
2017 19.77 12.55
2016 -7.86 -5.29
2015 22.13 18.14
2014 30.09 25.35
2013 15.70 10.79
2012 28.64 27.08
2011 -9.73 -10.42
2010 11.67 16.29
2009 35.12 35.93
2008 -53.94 -46.42
2007 -34.21 -29.07
2006 50.95 48.84
2005 36.82 27.44
2004 41.95 41.88
2003 20.92 20.53
2002 5.46 6.79
2001 -6.35 0.46
2000 14.98 13.02
1999 19.21 16.34
1998 from 01/07/1998 -12.66 -3.92
FEE INFORMATION
Initial Charge 5.00%
Annual Charge 1.20%
Ongoing Charge
(As of 2023/06/30)
1.87%
Performance Fee 10% of the 'Relevant Amount'
Hurdle Rate FTSE EPRA Nareit Developed Europe Capped Index

Portfolio

Top Holdings (As of 2024/03/31)
% of Fund
Vonovia 9.52
Segro 8.77
LEG Immobilien 5.93
Merlin Properties Socimi 4.72
PSP Swiss Property 4.47
British Land 3.86
Unibail-Rodamco-Westfield 3.86
Castellum 3.39
Tritax Big Box REIT 3.33
UNITE Group 3.33

Documents