To: Sergio H who wrote (23449 ) 1/17/2001 6:41:44 PM From: Ditchdigger Read Replies (1) | Respond to of 29382 Maybe this will post..JORNX description and stats off the Janus site (not much info on J2 yet) Performance Price (as of 01/17/2001) : $7.82 as of 01/17/2001 Average Annual Total Returns and Ratings (as of 12/31/2000) YTD 1 YR 3 YR 5 YR 10 YR Since Inception (06/2000) Janus Orion Fund 11.55% Lipper Quartile Ranking Lipper ranking will be available after the fund's 1-year anniversary. Morningstar Overall Rating Morningstar does not yet rate this Fund as it is less than 3 years old. Looking for Janus Orion Fund's prospectus? Want more information on Portfolio Manager Ron Sachs? I want to invest in this fund. Did you know Janus equity funds paid distributions December 15? Ticker Symbol: JORNX Portfolio Manager: Ron Sachs Janus Potential Risk/Reward Spectrum Compare this fund to other Janus funds Fund Strategy Taking advantage of investment opportunities anywhere in the world and in any industry, this aggressive, nondiversified fund normally seeks 20-30 well-managed, fast-growing companies of any size - from emerging-growth to well-established businesses. Top Holdings (as of 10/31/2000) View Company Descriptions American Tower Corp. NTL. Inc. Semtech Corp. Vitesse Semiconductor Corp. Winstar Communications, Inc. Total (% of Portfolio) 33.13% Index Comparison Select Time Period Year to Date Select Index Russell 2000Standard & Poor's 500Standard & Poor's MidCap 400Morgan Stanley Capital Intl WorldMorgan Stanley Capital Intl EAFELehman Bros Govt/Corp BondLehman Bros High-Yield BondLehman Bros Municipal BondLehman Bros 1-3 Yr Govt/Corp Bond Graph reflects previous month-end performance, except when you select YTD time period for comparison — then it reflects market day. View Index Description. Top Industries (as of 12/31/2000) % of Portfolio Telephone - Integrated 13.32% Electronic Components - Semiconductors 8.80% Telecommunication Equipment 8.34% Semiconductor Components/Integrated Circuits 7.87% Wireless Equipment 7.02% Multimedia 5.91% Cable Television 4.71% Television 4.29% Medical - Drugs 4.27% Oil Companies - Exploration and Production 3.43% Total 67.98% Regional Exposure (as of 12/31/2000) % of Equities Europe 5.17% Pacific Rim 1.46% United States 81.42% Latin America 4.28% Other 7.66% Total 100.00% Asset Allocation (as of 12/31/2000) % of Portfolio US Stocks 68.38% Foreign Stocks 15.61% Other 0.00% Fixed Income 0.00% Cash & Equivalent 16.01% Total 100.00% Fund Characteristics (as of 12/31/2000) Total Net Assets (millions) $878.6 Beta vs. S&P 500 N/A Standard Deviation N/A Turnover Rate (10/31/1999) N/A Price/Earnings Ratio 33.30 Median Market Cap (billions) $6.6 Capital Gains (12/15/2000) $0.0000 Dividends (12/15/2000) $0.0214 Operating Expenses (as of 05/31/2000) Management Fees 0.65% Other Expenses 0.60% Total 1.25% Janus Potential Risk/Reward Spectrum This spectrum shows our assessment of the relative volatility of the Janus funds. It should not be used to compare Janus funds with other mutual funds or different types of investments. The factors we considered in our assessment include certain historic volatility measurements, the types of securities a fund holds or may hold, how diversified a fund is and a fund's size. This spectrum cannot be used to predict the future volatility or performance of a fund, and a fund's position on the spectrum may change as market and economic conditions change. A Fund's performance for very short periods may not be indicative of future performace. In recent years returns have sustained significant gains and losses due to market volatility in the technology sector. Past performance is no guarantee of future results and investment results and principal value will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Total return includes reinvestment of dividends and capital gains. Holdings are subject to change without notice. The Fund's portfolio may differ significantly from the securities held in the index. The index is not available for direct investment; therefore its performance does not reflect the expenses associated with the active management of an actual portfolio. Concentration may lead to greater price volatility. Please see a prospectus for complete information, including expenses. Read it carefully before you invest or send money. Janus Distributors Inc., Member NASD Janus International Holding Company © Copyright 2000-2001. All rights reserved.