JANUS BALANCED FUND CLASS R(JDBRX) USD 39.06
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.25%USD 0.488USD0.344762022-12-22
USD0.07462022-09-30
USD0.04182022-06-30
USD0.02672022-03-31
20214.61%USD 1.802USD1.688942021-12-22
USD0.01952021-09-30
USD0.03052021-06-30
USD0.06352021-03-31
20202.10%USD 0.82USD0.580142020-12-17
USD0.07732020-09-30
USD0.08582020-06-30
USD0.07632020-03-31
20192.17%USD 0.849USD0.538012019-12-17
USD0.09492019-09-30
USD0.12342019-06-28
USD0.09262019-03-29
20185.08%USD 1.984USD1.756392018-12-18
USD0.07612018-09-28
USD0.07562018-06-29
USD0.07632018-03-29
20173.98%USD 1.553USD1.255482017-12-19
USD0.10132017-09-29
USD0.10842017-06-30
USD0.08762017-03-31
20162.16%USD 0.842USD0.5482016-12-19
USD0.10722016-09-30
USD0.08792016-06-30
USD0.09912016-03-31
20154.21%USD 1.643USD1.406592015-12-17
USD0.092015-09-30
USD0.0662015-06-30
USD0.082015-03-31
20144.42%USD 1.727USD1.482732014-12-17
USD0.0872014-09-30
USD0.07942014-06-30
USD0.07792014-03-31
20133.08%USD 1.203USD0.979832013-12-17
USD0.0822013-09-30
USD0.07442013-06-28
USD0.06672013-03-28
20123.32%USD 1.296USD0.98742012-12-18
USD0.09652012-09-28
USD0.10932012-06-29
USD0.10282012-03-30
20112.12%USD 0.827USD0.520922011-12-20
USD0.07912011-09-30
USD0.11922011-06-30
USD0.1082011-03-31
20103.15%USD 1.23USD0.879192010-12-20
USD0.11942010-09-30
USD0.13422010-06-30
USD0.09732010-03-31
20090.34%USD 0.133USD0.048582009-12-18
USD0.08492009-09-30