What most investors do in building a diversified portfolio – allocating resources across various asset classes based on a risk/reward target and rebalancing periodically – INTECH does at the stock level. INTECH’s process overweights stocks with low correlations and high relative price movements in an attempt to maximize the gains captured through dynamic portfolio rebalancing.

INTECH Global Income Managed Volatility Fund
INTECH U.S. Core Fund
INTECH U.S. Managed Volatility Fund
INTECH International Managed Volatility Fund
INTECH Emerging Markets Managed Volatility Fund

as of 05/19/2017
Daily Prices - I Shares
Fund NameShare Price$ Change% ChangeYTD HighYTD Low
INTECH Emerging Markets Managed Volatility Fund $10.22$0.111.09%$10.34$9.05
INTECH Global Income Managed Volatility Fund$13.28$0.050.38%$13.29$12.23
INTECH International Managed Volatility Fund$8.35$0.050.60%$8.37$7.31
INTECH U.S. Core Fund$19.90$0.190.96%$20.07$18.39
INTECH U.S. Managed Volatility Fund$10.27$0.070.69%$10.38$9.70

Returns quoted are past performance and do not guarantee future results; current performance may be lower or higher. Investment returns and principal value will vary; there may be a gain or loss when shares are sold. For the most recent month-end performance click here.

Mutual fund investing involves market risk. Investment return and fund share value will fluctuate and it is possible to lose money by investing.

INTECH Investment Management LLC is a subsidiary of Janus Capital Group Inc. and serves as the sub-adviser on certain products.

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