Janus Henderson Cautious Managed Fund A Inc

Category GBP Allocation 40-60% Equity


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Last buy/sell price

149.40p

arrow-up0.30p (+0.20%)

Fund Code

3247730

GB0032477308

Prices updated as at 12 Dec 2025
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Prices in GBX

Investment objective
The Fund aims to provide a return, from a combination of income and capital growth over the long term. The Fund invests in shares (also known as equities) and bonds of governments, companies or any other type of issuer, in any country. At all times the investment in equities will be limited to a maximum of 60% of the value of the Fund’s portfolio and the Fund will normally have a strong bias towards UK companies and bonds. Companies and bond issuers may be of any size, in any industry. The Fund may also invest in other assets including Collective Investment Schemes (including those managed by Janus Henderson) cash and money market instruments.

Dividend information

Dividend information
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Quarterly
31 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
03 Nov 20250.014711.494
01 Aug 20250.0141371.446
01 May 20250.0175071.404
03 Feb 20250.0126531.421
01 Nov 20240.0137461.408
01 Aug 20240.0136471.461
01 May 20240.0167491.394
01 Feb 20240.0115261.401
01 Nov 20230.0150011.307
01 Aug 20230.0127651.364
02 May 20230.0128621.421
01 Feb 20230.0083431.432
01 Nov 20220.0108091.331
01 Aug 20220.008581.441
03 May 20220.0128831.457
01 Feb 20220.0084471.524
01 Nov 20210.0124541.507
02 Aug 20210.0089081.542
04 May 20210.0124671.512
01 Feb 20210.0083911.432
30 Oct 20200.0094281.288
02 Nov 20200.0094281.285
03 Aug 20200.0091141.322
01 May 20200.0109861.323
03 Feb 20200.0103311.511
01 Nov 20190.0120651.469
01 Aug 20190.015341.47
01 May 20190.0151671.475
01 Feb 20190.010181.435
01 Nov 20180.0136971.465
01 Aug 20180.0123471.525
01 May 20180.0164151.53
01 Feb 20180.0091141.525
01 Nov 20170.014691.536
01 Aug 20170.0103591.547
02 May 20170.0163461.54
01 Feb 20170.0080771.506
01 Nov 20160.0132741.506
01 Aug 20160.0126861.488
03 May 20160.0144061.439
01 Feb 20160.0074981.438
02 Nov 20150.0119311.459
03 Aug 20150.0102891.516
01 May 20150.0141991.547
02 Feb 20150.0080021.537
Please note that past performance is not a reliable indicator of future returns.


Important Information

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