Please ensure Javascript is enabled for purposes of website accessibility Horizon Pan European Absolute Return Fund - Janus Henderson Investors

Horizon Pan European Absolute Return Fund

Overview

INVESTMENT OBJECTIVE

The investment objective of the Pan European Alpha Fund is to seek long-term capital appreciation through exposure primarily to European equities. At least two-thirds of the Fund’s total assets (after deduction of cash) will be invested in equity securities and equity related instruments (excluding convertible debt securities) of companies that are domiciled in Europe (including the UK) or derive the majority of their revenue from business activities in this region.

More

The Investment Manager will adopt a broad range of investment strategies using a diversified range of instruments with a view to enhancing the performance of the Fund. Particularly, the Investment Manager will employ an approach to investment decisions using primarily a Fundamental strategy as further described under the Section ‘General Policies applicable to Funds making active use of derivatives’ of this Prospectus.

The Fund’s approach will be implemented principally through investment in equity securities and contracts-for-difference but may in addition use the following instruments in accordance with the Section ‘Investment Restrictions’ of this Prospectus: options, futures and forwards on stocks and indices, index baskets and derivatives, Real Estate Investment Trusts, warrants, preferred stock, OTC swaps including equity swaps and asset swaps, currency forwards.

On an ancillary basis, and for defensive purposes, the Fund may also invest in government, government agency and corporate bonds and their associated derivative securities, preferred stock and monetary instruments, and may hold cash or treasury bills pending reinvestment. The Investment Manager may from time to time consider hedging currency and interest rate exposure, but will not generally enter into contracts involving a speculative position in any currency or interest rate.

Less

RATINGS AND AWARDS

PORTFOLIO MANAGEMENT

Robert Schramm-Fuchs

Portfolio Manager

Industry since 2005. Joined Firm in 2014.

John Bennett

Director of European Equities | Portfolio Manager

Industry since 1987. Joined Firm in 2011.

Performance

Calendar Year Returns (%)
A2 HUSD (Net) A2 EUR (Net) A2 EUR (Net) A2 HUSD (Net) Secured Overnight Financing Rate Secured Overnight Financing Rate Euro Short Term Rate Euro Short Term Rate
1703980800000 1672444800000 1640908800000 1609372800000 1577750400000 1546214400000 1514678400000 1483142400000 1451520000000 1419984000000
A2 HUSD (Net) 6.92 -2.18 8.19 6.83 12.62 -3.67 5.30 -1.49 2.29 6.42
A2 EUR (Net) 4.71 -4.55 6.88 5.24 9.95 -6.18 3.67 -2.66 2.05 6.42
A2 EUR (Net) 4.71 -4.55 6.88 5.24 9.95 -6.18 3.67 -2.66 2.05 6.42
A2 HUSD (Net) 6.92 -2.18 8.19 6.83 12.62 -3.67 5.30 -1.49 2.29 6.42
Secured Overnight Financing Rate 5.20 1.68 0.06 0.38 2.03 1.72 0.94 0.37 0.13 0.08
Secured Overnight Financing Rate 5.20 1.68 0.06 0.38 2.03 1.72 0.94 0.37 0.13 0.08
Euro Short Term Rate 3.30 -0.01 -0.29 0.00 0.00 0.00 0.00 0.01 0.05 1.80
Euro Short Term Rate 3.30 -0.01 -0.29 0.00 0.00 0.00 0.00 0.01 0.05 1.80

Portfolio

Documents