Please ensure Javascript is enabled for purposes of website accessibility Sustainable Credit Fund - Janus Henderson Investors
For wholesale investors in Australia

Sustainable Credit Active ETF (Managed Fund)

A diversified credit portfolio of debt securities issued by companies with robust sustainable practices or the potential to enhance outcomes for society or the planet.

Ticker
GOOD

NAV Per Unit (interim)
$50.2066
As of 01/03/2024

NAV Per Unit (final)
$50.2066
As of 01/03/2024

iNAV
$50.2482
As of 04/03/2024 14:46:46pm AEDT

Overview

INVESTMENT OBJECTIVE

Performance objective
The Fund seeks to achieve a total return before fees that exceeds the total return of the Benchmark by 0.75% p.a. over rolling 3-year periods.

Sustainability objective
The Fund seeks to invest in credit securities which the Manager expects currently or will in the future contribute positively towards eight ‘People’ and/or ‘Planet’ themes.

INTRODUCING SUSTAINABLE CREDIT

ABOUT THIS FUND

  • Provides access to an actively managed, diversified portfolio of Australian and global investment grade and sub-investment grade credit securities that are issued by entities with robust sustainable practices and are considered by the Manager to currently, or in the future, contribute positively towards ‘People’ and/or ‘Planet’ themes.
  • The Fund seeks to achieve a total return before fees that exceeds the total return of the Benchmark by 0.75% p.a. over rolling three year periods.
  • The Manager utilises a proprietary ‘Holistic’ framework combining qualitative environmental, social and governance (ESG) assessments with third-party ESG measures and metrics to assess issuers; a process then complemented by active stewardship and engagement activities.

Please see the ‘Investment policy/approach’ section of the Product Disclosure Statement (PDS) for definitions and explanations of all terms used.

Key Information

NAV Per Unit (interim) $50.2066 As of 01/03/2024
NAV Per Unit (final) $50.2066 As of 01/03/2024
iNAV Loading
Exchange ASX
Exchange code / Ticker GOOD
ARSN 662 889 214
Underlying fund inception date 7 Feb 2023
Investment Manager Janus Henderson Investors (Australia) Institutional
Funds Management Limited
Portfolio Manager Jay Sivapalan, CFA
Shan Kwee, CFA
Management costs 0.50% p.a.
Performance fee Nil
Distribution frequency Monthly (if any)
Distribution Reinvestment Plan (DRP) Full participation available
ETF Assets Under Management (AUM) -

PORTFOLIO MANAGEMENT

Jay Sivapalan, CFA

Head of Australian Fixed Interest | Portfolio Manager

Industry since 1998. Joined Firm in 2015.

Shan Kwee, CFA

Portfolio Manager

Industry since 2003. Joined Firm in 2018.

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