Janus Henderson ICAV - Net Asset Value(s)

  [14.01.26]

 

TABULA ICAV


Janus                                                             Share
Henderson EUR IG    Valuation              Shares in              Redeemed                   NAV per  Ex
Bond Paris-aligned  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate Active Core                                               Previous                            Date
UCITS ETF                                                         Valuation

                    13.01.26  IE00BN4GXL63 9,107,633.00  EUR      0         90,227,657.53    9.9068

Janus                                                             Share
Henderson EUR IG    Valuation              Shares in              Redeemed                   NAV per  Ex
Bond Paris-aligned  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate Active Core                                               Previous                            Date
UCITS ETF                                                         Valuation

                    13.01.26  IE00BN4GXM70 31,280.00     SEK      0         3,110,370.52     99.4364

Janus Henderson HMT                                               Share
Global IG Credit    Valuation              Shares in              Redeemed                   NAV per  Ex
Curve Steepener     Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE00BMQ5Y557 458,600.00    EUR      0         51,518,566.88    112.3388

                                                                  Share
Janus Henderson US  Valuation              Shares in              Redeemed                   NAV per  Ex
Enhanced Inflation  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE00BMDWWS85 44,815.00     USD      0         5,416,712.94     120.8683

                                                                  Share
Janus Henderson US  Valuation              Shares in              Redeemed                   NAV per  Ex
Enhanced Inflation  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE00BN0T9H70 69,168.00     GBP      0         8,111,766.24     117.2763

                                                                  Share
Janus Henderson US  Valuation              Shares in              Redeemed                   NAV per  Ex
Enhanced Inflation  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE00BKX90X67 55,079.00     EUR      0         6,029,655.89     109.4729

                                                                  Share
Janus Henderson US  Valuation              Shares in              Redeemed                   NAV per  Ex
Enhanced Inflation  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE00BKX90W50 16,624.00     CHF      0         1,619,450.04     97.4164

                                                                  Share
Janus Henderson GCC Valuation              Shares in              Redeemed                   NAV per  Ex
Sovereign USD Bond  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000L1I4R94 1,051,617.00  USD      0.00      12,216,734.23    11.6171

                                                                  Share
Janus Henderson GCC Valuation              Shares in              Redeemed                   NAV per  Ex
Sovereign USD Bond  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000LJG9WK1 470,302.00    GBP      0         4,753,055.20     10.1064

Janus Henderson                                                   Share
Global High Yield                                                 Redeemed                            Ex
Fallen Angels       Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-aligned       Date                   Issue                  Previous                   Share    Date
Climate Core UCITS                                                Valuation
ETF

                    13.01.26  IE000JL9SV51 40,471.00     USD      0         492,891.92       12.1789

Janus Henderson                                                   Share
Global High Yield                                                 Redeemed                            Ex
Fallen Angels       Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-aligned       Date                   Issue                  Previous                   Share    Date
Climate Core UCITS                                                Valuation
ETF

                    13.01.26  IE000BQ3SE47 3,710,547.00  SEK      0         424,137,533.12   114.3059

Janus Henderson                                                   Share
Global High Yield                                                 Redeemed                            Ex
Fallen Angels       Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-aligned       Date                   Issue                  Previous                   Share    Date
Climate Core UCITS                                                Valuation
ETF

                    13.01.26  IE000LSFKN16 656,306.00    GBP      0         6,738,769.48     10.268

Janus Henderson                                                   Share
Global High Yield                                                 Redeemed                            Ex
Fallen Angels       Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-aligned       Date                   Issue                  Previous                   Share    Date
Climate Core UCITS                                                Valuation
ETF

                    13.01.26  IE000LH4DDC2 172,747.00    EUR      0         1,968,562.84     11.3956

Janus Henderson EUR                                               Share
Ultrashort IG Bond  Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-Aligned       Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate Core UCITS                                                Previous                            Date
ETF                                                               Valuation

                    13.01.26  IE000WXLHR76 1,013,673.00  EUR      0         10,910,000.11    10.7628

Janus Henderson EUR                                               Share
Ultrashort IG Bond  Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-Aligned       Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate Core UCITS                                                Previous                            Date
ETF                                                               Valuation

                    13.01.26  IE000P7C7930 73,581.00     GBP      0         818,012.66       11.1172

Janus Henderson                                                   Share
Japan High          Valuation              Shares in              Redeemed                   NAV per  Ex
Conviction Equity   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
UCITS ETF                                                         Previous                            Date
                                                                  Valuation

                    13.01.26  IE000CV0WWL4 11,000,000.00 JPY      0         1,445,122,636.92 131.3748

Janus Henderson Pan                                               Share
European High       Valuation              Shares in              Redeemed                   NAV per  Ex
Conviction Equity   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
UCITS ETF                                                         Previous                            Date
                                                                  Valuation

                    13.01.26  IE0002A3VE77 700,000.00    EUR      0         9,283,385.16     13.262

Janus Henderson USD                                               Share
Mortgage-Backed     Valuation              Shares in              Redeemed                   NAV per  Ex
Securities Active   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000YMBL844 2,391,357.00  USD      0         25,301,691.37    10.5805

Janus Henderson USD                                               Share
Mortgage-Backed     Valuation              Shares in              Redeemed                   NAV per  Ex
Securities Active   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000RH1ZG27 114,427.00    USD      0         1,202,488.63     10.5088

Janus Henderson EUR                                               Share
Short Duration      Valuation              Shares in              Redeemed                   NAV per  Ex
Income Active Core  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
UCITS ETF                                                         Previous                            Date
                                                                  Valuation

                    13.01.26  IE000CCQKON9 2,234,999.00  EUR      0         22,709,740.96    10.161

Janus Henderson EUR                                               Share
Short Duration      Valuation              Shares in              Redeemed                   NAV per  Ex
Income Active Core  Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
UCITS ETF                                                         Previous                            Date
                                                                  Valuation

                    13.01.26  IE000I8CR2Q4 5,005.00      EUR      0         50,146.85        10.0194

Janus Henderson US                                                Share
Transformational    Valuation              Shares in              Redeemed                   NAV per  Ex
Growth High         Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Conviction Equity                                                 Previous                            Date
UCITS ETF                                                         Valuation

                    13.01.26  IE0009ZTL4B5 510,000.00    USD      0         5,535,027.80     10.853

Janus Henderson                                                   Share
Global              Valuation              Shares in              Redeemed                   NAV per  Ex
Research-Engineered Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Equity Active Core                                                Previous                            Date
UCITS                                                             Valuation

                    13.01.26  IE000Y3FZEN4 521,000.00    USD      0         5,447,885.86     10.4566

Janus Henderson                                                   Share
Mexico Government   Valuation              Shares in              Redeemed                   NAV per  Ex
Bond USD 10-30Y     Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000J8RGOJ4 994,457.00    USD      0         9,875,923.67     9.931

Janus Henderson                                                   Share
Mexico Government   Valuation              Shares in              Redeemed                   NAV per  Ex
Bond USD 10-30Y     Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Core UCITS ETF                                                    Previous                            Date
                                                                  Valuation

                    13.01.26  IE000P9STSM0 1,000.00      MXN      0         995,858.16       995.8582