JANUS BALANCED FUND CLASS C(JABCX) USD 38.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.98%USD 0.381USD0.319292022-12-22
USD0.04682022-09-30
USD0.01492022-06-30
20214.43%USD 1.721USD1.680862021-12-22
USD0.00222021-06-30
USD0.03752021-03-31
20201.88%USD 0.73USD0.550552020-12-17
USD0.05412020-09-30
USD0.06342020-06-30
USD0.06152020-03-31
20192.19%USD 0.849USD0.599542019-12-17
USD0.07532019-09-30
USD0.10082019-06-28
USD0.07342019-03-29
20184.88%USD 1.894USD1.728952018-12-18
USD0.05772018-09-28
USD0.05232018-06-29
USD0.05552018-03-29
20173.78%USD 1.467USD1.230992017-12-19
USD0.08082017-09-29
USD0.08612017-06-30
USD0.06932017-03-31
20161.95%USD 0.756USD0.512892016-12-19
USD0.09152016-09-30
USD0.06912016-06-30
USD0.0832016-03-31
20154.03%USD 1.563USD1.386022015-12-17
USD0.07262015-09-30
USD0.04532015-06-30
USD0.05932015-03-31
20144.22%USD 1.639USD1.458132014-12-17
USD0.06762014-09-30
USD0.05762014-06-30
USD0.05582014-03-31
20132.87%USD 1.115USD0.953692013-12-17
USD0.06342013-09-30
USD0.05332013-06-28
USD0.04422013-03-28
20123.11%USD 1.207USD0.963652012-12-18
USD0.07252012-09-28
USD0.08582012-06-29
USD0.08482012-03-30
20111.94%USD 0.752USD0.502312011-12-20
USD0.05652011-09-30
USD0.1042011-06-30
USD0.08892011-03-31
20103.00%USD 1.164USD0.860732010-12-20
USD0.10232010-09-30
USD0.11772010-06-30
USD0.0832010-03-31
20090.77%USD 0.298USD0.014262009-12-18
USD0.07022009-09-30
USD0.148472009-06-30
USD0.065132009-03-31
20080.75%USD 0.292USD0.093872008-09-30
USD0.108242008-06-30
USD0.090042008-03-31
20070.75%USD 0.29USD0.07952007-09-28
USD0.106322007-06-29
USD0.104412007-03-30
20060.54%USD 0.209USD0.090042006-09-29
USD0.078542006-06-30
USD0.040232006-03-31
20050.41%USD 0.158USD0.065132005-09-30
USD0.050772005-06-30
USD0.042152005-03-31
20040.67%USD 0.26USD0.103452004-12-22
USD0.064182004-09-30
USD0.049812004-06-30
USD0.042152004-03-31
20030.48%USD 0.187USD0.040232003-12-19
USD0.047892003-09-30
USD0.051722003-06-30
USD0.046932003-03-31