Fact sheet: Janus Henderson HzEuCpBd

Fund information

Fund name
Janus Henderson Horizon Euro Corporate Bond H2 Acc EUR
Fund company manager
Henderson Management SA
Fund type
SIB
Fund manager(s)
Tom Ross
since 01/08/2015
Timothy Owen Winstone
since 01/02/2017
Fund objective
The investment objective of the Euro Corporate Bond Fund is to provide a total return in excess of that generated by the iBoxx Euro Corporates Index by investing primarily in Euro denominated investment grade corporate bonds and other fixed and floating rate securities. The Fund may invest up to 20% of its net assets in contingent convertible bonds. The Fund may make use of a variety of instruments / strategies in order to achieve the Fund’s objective including, but not limited to, forward rate notes, forward foreign exchange contracts (including non-deliverable forwards), interest rate futures, bond futures and OTC swaps (such as interest rate swaps, credit default swaps, credit default swaps on indices and total return swaps).
Benchmark
IBOXX European Corp Bond Idx
Investment style
Active
Investment method
Fixed Interest

Performance snapshot

Sector
Fund
Sector
Fund
Sector
Fund

Quick stats

1 Year return

3.77 %

1 Year rank in sector

16/65

Sector

FO Fixed Int - EUR Corporate Bond

Yield
-
Fund size

£ 2.1 b

FE Risk score

21

NAV
-
Discount/Premium
-
Gearing
-

Top in sector

Holdings snapshot

  • Germany
    22.6%
  • Others
    15.8%
  • USA
    15%
  • France
    13.6%
  • UK
    13.2%
  • Financials
    51.8%
  • Consumer Goods
    7.7%
  • Government Bonds
    7%
  • Utilities
    6.1%
  • Others
    6%
  • German Fixed Interest
    22.6%
  • Global Fixed Interest
    15.8%
  • US Fixed Interest
    15%
  • French Fixed Interest
    13.6%
  • UK Fixed Interest
    13.2%

Performance vs. Sector

Sector
Fund
Sector
Fund
Sector
Fund

Cumulative performance

1m6m1y3y5y
Fund0.23 %1.36 %3.77 %6.21 %18.56 %
Sector0.09 %1.18 %3.25 %6.36 %16.87 %
Rank within sector14 / 6819 / 6716 / 6526 / 6321 / 53
Quartile th1 st2 nd1 st2 nd2 nd

Calendar performance

YTD-20182017201620152014
Fund0.13 %3.16 %4.51 %-1.19 %8.03 %
Sector0.11 %2.87 %4.74 %-1.02 %6.9 %
Rank within sector33 / 6817 / 6531 / 6443 / 6322 / 58
Quartile th2 nd2 nd2 nd3 rd2 nd

Risk statistics

Alpha-0.16
Beta1.06
Sharpe-0
Volatility3.3
Tracking error0.6
Information ratio-0.07
R-Squared0.97

Price movement

52 week high118.61
52 week low113.43
Current bid price0
Current offer price0
Current mid price117.87

Holdings by region

  • 22.6% Germany
  • 15.8% Others
  • 15% USA
  • 13.6% France
  • 13.2% UK
  • 5.1% Sweden
  • 4% Spain
  • 3.1% Switzerland
  • 2.7% Denmark
  • 2.6% Australia

Holdings by sector

  • 51.8% Financials
  • 7.7% Consumer Goods
  • 7% Government Bonds
  • 6.1% Utilities
  • 6% Others
  • 5% Consumer Services
  • 4.7% Oil & Gas
  • 3.9% Telecommunications
  • 3.2% Industrials
  • 3.1% Futures

Holdings by asset type

  • 22.6% German Fixed Interest
  • 15.8% Global Fixed Interest
  • 15% US Fixed Interest
  • 13.6% French Fixed Interest
  • 13.2% UK Fixed Interest
  • 5.1% Swedish Fixed Interest
  • 4% Spanish Fixed Interest
  • 3.1% Swiss Fixed Interest
  • 2.7% Danish Fixed Interest
  • 2.6% Australian Fixed Interest

Individual holdings

-