Janus Henderson Global Life Sciences Fund

I $acc ISIN code: IE0002141913

Ratings and awards

Morningstar 5 Star

Investment objective

This global health care fund seeks consistent returns by investing in companies addressing unmet medical needs or making the health care system more efficient. We balance the portfolio across pharmaceuticals, biotechnology and services/devices sub-sectors in an effort to achieve similar or lower volatility relative to our peers.

Overview

The value of an investment and the income from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested.

Potential investors must read the prospectus, and where relevant, the key investor information document before investing.

This website is for financial promotion purposes and is not investment advice.

Before you invest

Share class:

Key documents

All documents
ISIN code: IE0002141913I $acc Currency USD NAV 39.9100 Change
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Price date 17/09/2019
 
ISIN code: IE00B2B36J28I $inc Currency USD NAV 13.8000 Change
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Price date 17/09/2019
ISIN code: IE00BRJG6X20I €acc Currency EUR NAV 16.9200 Change
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Price date 17/09/2019
ISIN code: IE00B2B36G96I €acc Hedged Currency EUR NAV 30.1500 Change
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Price date 17/09/2019
ISIN code: IE00BFRSYK98U €acc Hedged Currency EUR NAV 17.8900 Change
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Price date 17/09/2019
ISIN code: IE00BFRSYJ83U$acc Currency USD NAV 19.6700 Change
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Price date 17/09/2019
Performance

Past performance is not a guide to future performance. All performance data includes both income and capital gains or losses and reflects the deduction of any ongoing charges or other fund expenses.

Discrete performance

Share classJun 2018 - Jun 2019Jun 2017 - Jun 2018Jun 2016 - Jun 2017Jun 2015 - Jun 2016Jun 2014 - Jun 2015
I $acc9.93%10.64%13.46%-17.11%37.25%
I $inc9.96%10.69%---
I €acc12.92%8.20%10.31%-16.76%-
I €acc Hedged6.26%7.57%11.10%-17.71%37.07%
U €acc Hedged7.04%8.30%11.85%-17.12%37.96%
U$acc10.68%11.41%14.29%-16.53%38.33%
© Morningstar 2019. All rights reserved. NAV-NAV, gross income reinvested where applicable.Source: Morningstar, based on market prices at close on the date shown. We are not responsible for the accuracy or completeness of the information supplied by Morningstar. We take care to ensure that the information provided by Morningstar is correct but we neither warrant, represent nor guarantee the contents of the information, nor do we accept any responsibility for errors, inaccuracies, omissions or any inconsistencies therein. Prices may be subject to change, errors and omissions excepted. Annual return to 30/06/2019

Cumulative performance

Share classLast monthYTD1 Year3 YearsSince inception
I $acc-0.6511.48%-0.82%25.94%299.10%
I $inc-0.6511.47%-0.79%-38.00%
I €acc-0.4715.42%4.70%27.03%69.20%
I €acc Hedged-0.898.84%-4.16%15.65%201.50%
U €acc Hedged-0.839.35%-3.51%18.01%78.90%
U$acc-0.5612.08%-0.10%28.65%96.70%
© Morningstar 2019. All rights reserved. NAV-NAV, gross income reinvested where applicable.Source: Morningstar, based on market prices at close on the date shown. We are not responsible for the accuracy or completeness of the information supplied by Morningstar. We take care to ensure that the information provided by Morningstar is correct but we neither warrant, represent nor guarantee the contents of the information, nor do we accept any responsibility for errors, inaccuracies, omissions or any inconsistencies therein. Prices may be subject to change, errors and omissions excepted. Data as at 17/09/2019
Top 10 holdings
Geographic breakdown
Sector breakdown
Dividends
Key data
Asset class Equities
Structure Irish Investment Company
Launch date 31/03/2000
Base currency USD
Sector Morningstar Europe OE Sector Equity Healthcare
Benchmark MSCI World Health Care
Pricing basis -

I $acc

Distribution type Accumulation
ISIN code IE0002141913
WKN Code 935600
Valoren Code 1060717
Initial charge 2
Annual charges 1.5
Launch date 31/03/2000
Dividend pay dates N/A
XD dates N/A
Currency USD
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A
Minimum Lump Sum USD1,000,000.00

I $inc

Distribution type Income
ISIN code IE00B2B36J28
WKN Code A2DJK4
Initial charge 2
Annual charges 1.5
Launch date 09/12/2016
Dividend pay dates 3rd business day after XD date
XD dates 15-Apr and/or 15-Oct
Currency USD
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A

I €acc

Distribution type Accumulation
ISIN code IE00BRJG6X20
WKN Code A12DTZ
Valoren Code 25769184
Initial charge 2
Annual charges 1.5
Launch date 20/10/2014
Dividend pay dates N/A
XD dates N/A
Currency EUR
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A
Minimum Lump Sum EUR1,000,000.00

I €acc Hedged

Distribution type Accumulation
ISIN code IE00B2B36G96
WKN Code A0NCDN
Valoren Code 3694986
Initial charge 2
Annual charges 1.5
Launch date 31/01/2008
Dividend pay dates N/A
XD dates N/A
Currency EUR
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A
Minimum Lump Sum EUR1,000,000.00

U €acc Hedged

Distribution type Accumulation
ISIN code IE00BFRSYK98
WKN Code A117BV
Valoren Code 22772880
Initial charge 0
Annual charges 0.8
Launch date 31/10/2013
Dividend pay dates N/A
XD dates N/A
Currency EUR
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A
Minimum Lump Sum EUR2,500.00

U$acc

Distribution type Accumulation
ISIN code IE00BFRSYJ83
Valoren Code 22772753
Initial charge 0
Annual charges 0.8
Launch date 31/10/2013
Dividend pay dates N/A
XD dates N/A
Currency USD
Performance FeeCertain classes within a fund may be able to charge a performance related management fee, which becomes payable when that class outperforms its performance fee benchmark and previous high watermark (where applicable).An indication of the historic performance fee payable can be found in the relevant KIID.N/A
Minimum Lump Sum USD2,500.00

Manager(s)

General risks
  • ​The value of the Funds and the income from them is not guaranteed and may fall as well as rise. You may get back less than you originally invested.
  • ​Past performance is not a guide to future performance.
  • ​For detailed product information including the risks associated with investing please read the relevant Prospectus or Annual Report.
  • Before investing in any of our funds you should satisfy yourself as to the suitability and the risks involved, you may wish to consult a financial adviser.
  • Third party data is believed to be reliable, but its completeness and accuracy is not guaranteed.
Specific risks
  • This fund is designed to be used only as one component of several in a diversified investment portfolio. Investors should consider carefully the proportion of their portfolio invested into this fund.
  • If a Fund has a high exposure to a particular country or geographical region it carries a higher level of risk than a Fund which is more broadly diversified.
  • The Fund may use derivatives with the aim of reducing risk or managing the portfolio more efficiently. However this introduces other risks, in particular, that a derivative counterparty may not meet its contractual obligations.
  • Shares can lose value rapidly, and typically involve higher risks than bonds or money market instruments. The value of your investment may fall as a result.
  • If the Fund holds assets in currencies other than the base currency of the Fund or you invest in a share class of a different currency to the Fund (unless 'hedged'), the value of your investment may be impacted by changes in exchange rates.
  • The Fund is focused towards particular industries or investment themes and may be heavily impacted by factors such as changes in government regulation, increased price competition, technological advancements and other adverse events.
  • Shares of small and mid-size companies can be more volatile than shares of larger companies, and at times it may be difficult to value or to sell shares at desired times and prices, increasing the risk of losses.

Announcements

Important message