Please ensure Javascript is enabled for purposes of website accessibility AA-A CLO ETF | Janus Henderson Investors
For Financial Professionals in the US

JA AA-A CLO ETF

Provides access to AA and A‑rated, floating‑rate CLOs through a liquid, transparent and risk‑managed ETF

NAV
$50.00
As of 06/30/2026

1-Day Change
-$0.19 (-0.38%)
As of 06/30/2026

Overview

About this ETF

An ETF offering access to high quality, AA and A rated CLOs, aiming for consistent risk-adjusted returns, low volatility with limited downgrade risk, while maintaining low correlation to traditional fixed income.

Why CLO Investing at Janus Henderson

Specialised and experienced team
Janus Henderson has a long-standing history of CLO investing, supported by a global portfolio management team that combines the expertise of securitised and loan specialists.

Disciplined investment process
Rigorous CLO manager due diligence and portfolio construction seeking to deliver optimal risk-adjusted returns through different market environments.

Global CLO platform
Scale and expertise seeking to offer competitive investor advantages, from deep market access to efficient execution.

*Designations

NAIC 1.F (2026 preliminary)

Portfolio Management

John Kerschner, CFA

Global Head of Securitised Products | Portfolio Manager

Industry since 1990. Joined Firm in 2010.

Nick Childs, CFA

Head of Structured and Quantitative Fixed Income | Portfolio Manager

Industry since 2003. Joined Firm in 2017.

Jessica Shill

Portfolio Manager | Securitised Products Analyst

Industry since 2017. Joined Firm in 2019.

Performance

RETURNS (%) (As of 03/31/2026)
Nav Market-Price 70% JPM CLO A/30% JPM CLO AA Index
 
Since Inception
(02/19/2026)
Nav 0.28
Market-Price 0.40
70% JPM CLO A/30% JPM CLO AA Index 0.22
RETURNS (%) (As of 05/31/2026)
Nav Market-Price 70% JPM CLO A/30% JPM CLO AA Index
 
3M Since Inception
(02/19/2026)
Nav 1.25 1.35
Market-Price 1.25 1.47
70% JPM CLO A/30% JPM CLO AA Index 1.34 1.39

Premium/Discount History

DISTRIBUTION OVERVIEW
Ex-DateRecord DatePayable DateOrdinary IncomeShort-Term Capital GainsLong-Term Capital GainsTotal Distribution
06/30/202606/30/202607/07/2026$0.2187180$0.0000000$0.0000000$0.2187180
05/29/202605/29/202606/04/2026$0.1753870$0.0000000$0.0000000$0.1753870
04/30/202604/30/202605/06/2026$0.2055090$0.0000000$0.0000000$0.2055090
03/31/202603/31/202604/07/2026$0.2610730$0.0000000$0.0000000$0.2610730
View Full History

Portfolio

Index represents the 70% JPM CLO A Index / 30% JPM CLO AA Index

Top Holdings (As of 06/30/2026)
% of Fund
Sixth Street CLO XVI Ltd|5.37214|01/21/2039, 5.37%, 01/21/39 3.47
Magnetite XXIII Ltd|5.01659|01/25/2035, 5.02%, 01/25/35 3.47
Venture 49 CLO Ltd|5.40621|04/20/2037, 5.41%, 04/20/37 3.47
Whitebox CLO IV Ltd|5.427|07/20/2039, 5.43%, 07/20/39 3.45
Tikehau US CLO VII Ltd|5.66659|02/25/2038, 5.67%, 02/25/38 3.42
Symphony CLO XXVIII Ltd|5.46606|01/23/2036, 5.47%, 01/23/36 3.42
Ares LXII CLO Ltd|5.56659|01/25/2034, 5.57%, 01/25/34 3.32
Bear Mountain Park CLO Ltd|5.4231|07/15/2037, 5.42%, 07/15/37 3.06
Rad CLO 22 Ltd|5.62523|10/20/2040, 5.63%, 10/20/40 3.03
Apex Credit CLO 2024-I Ltd|5.52523|04/20/2036, 5.53%, 04/20/36 3.01
View full holdings
Portfolio Characteristics (As of 06/30/2026)
 
Number of Holdings
Debt Issues
44
Portfolio Turnover Rate
(1-year trailing)
-
Weighted Average Maturity
(years)
6.31
Effective Duration
(years)
0.08
Yield to Worst
5.38%
Sector Allocation % of Fund % of Fund As of 06/30/2026
Regional Allocation % of Fund % of Fund As of 06/30/2026
Maturity Breakdown of Fixed Income Holdings % of Fund % of Fund As of 06/29/2026
Credit Quality of Fixed Income Holdings % of Fund % of Fund As of 06/30/2026

Documents