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For Institutional Investors in the US

Asset-Backed Securities ETF Holdings

Full Portfolio Holdings

(As of April 20, 2026)

Ticker Cusip Underlying Security Strike Price Quantity (Shares/ Par/ Units/ Contracts) Notional Value Market Value Weight % Current Market Value
Janus Henderson AAA CLO ETF JAAA US 47103U845 - 62,990 $3,186,664 $3,186,664 2.42 $3,186,664
VERTICAL BRIDGE LLC 2016-1 5.602% 55, 5.60%, 08/16/55 VBTOW 2025-1A 92535VAS1 - 3,000,000 $2,991,381 $2,991,381 2.28 $2,988,580
Lendbuzz Securitization Trust 2025-2 C 5.28% 15-APR-2031, 5.28%, 04/15/31 LBZZ 2025-2A 52611JAD2 - 2,862,000 $2,771,185 $2,771,185 2.11 $2,768,666
Sound Point CLO XXXIII C 5.91802% 25-APR-2035, 5.92%, 04/25/35 SNDPT 2022-1A 83616KAE7 - 2,700,000 $2,747,147 $2,747,147 2.09 $2,709,420
Libra Solutions 2025-1 A 6.355% 15-AUG-2039, 6.36%, 08/15/39 OASIS 2025-1A 53161AAA9 - 2,610,000 $2,618,972 $2,618,972 1.99 $2,616,207
Huntington Bank Auto Credit-Linked Notes, Series 2025-2 B1 4.835% 20-SEP-2033, 4.83%, 09/20/33 HACLN 2025-2 44644NAN9 - 2,506,127 $2,518,402 $2,518,402 1.92 $2,507,585
FIGRE Trust 2025-HE3 A 5.56% 25-MAY-2055, 5.56%, 05/25/55 FIGRE 2025-HE3 31684LAA9 - 2,358,137 $2,400,566 $2,400,566 1.83 $2,382,356
HILTON GRAND VACATIONS TRUS 4.73% 44, 4.73%, 05/25/44 HGVT 2025-2A 43285JAB0 - 2,166,109 $2,162,011 $2,162,011 1.65 $2,154,612
FIGRE TRUST 2025-FL1 5.467% 55, 5.47%, 07/25/55 FIGRE 2025-FL1 31684QAB6 - 2,098,018 $2,113,028 $2,113,028 1.61 $2,097,098
COMPASS DATACENTERS ISSUER II A1, 5.32%, 05/25/50 CMPDC 2025-1A 20469CAA3 - 2,000,000 $2,017,977 $2,017,977 1.54 $2,010,298
TOWD POINT MORTGAGE TRUS 5.98666% 65, 5.31%, 07/25/65 TPMT 2025-HE1 89183LAD7 - 2,000,000 $2,017,583 $2,017,583 1.54 $2,009,724
OCCU Auto Receivables Trust 2025-1 (Oregon Community Credit Union) D 5.6% 15-NOV-2034, 5.60%, 11/15/34 OCCU 2025-1A 67098SAG5 - 2,000,000 $2,009,826 $2,009,826 1.53 $2,007,960
RCKT MORTGAGE TRUST 2025-CE 5.16% 34, 5.16%, 07/25/34 RCKTL 2025-1A 74939RAC5 - 2,000,000 $2,008,995 $2,008,995 1.53 $2,001,542
SCCU Auto Receivables Trust 2025-1 (Space Coast Credit Union) C 5.08% 15-FEB-2032, 5.08%, 02/17/32 SCCU 2025-1A 80620BAF4 - 2,000,000 $2,007,911 $2,007,911 1.53 $2,006,218
Exeter Select Automobile Receivables Trust 2025-2 C 4.91% 15-DEC-2031, 4.91%, 12/15/31 ESART 2025-2 30185EAE3 - 2,000,000 $2,000,758 $2,000,758 1.52 $1,999,122
SoFi Consumer Loan Program 2025-3 Trust C 5.04% 25-AUG-2034, 5.04%, 08/15/34 SCLP 2025-3 83390JAC6 - 2,000,000 $1,996,464 $1,996,464 1.52 $1,989,184
HPEFS EQUIPMENT TRUST 2025-2 0% 33, 4.77%, 05/20/33 HPEFS 2025-2A 442927AF6 - 2,000,000 $1,993,757 $1,993,757 1.52 $1,985,542
Lyra MUSIC Assets, Series 2025-1 A2 5.604% 20-SEP-2065, 5.60%, 09/20/65 LYRA 2025-1A 552339AD5 - 1,750,449 $1,803,199 $1,803,199 1.37 $1,770,228
Ally Bank Auto Credit-Linked Notes, Series 2025-A C 4.844% 15-JUN-2033, 4.84%, 06/15/33 ABCLN 2025-A 02007G5F6 - 1,706,362 $1,710,184 $1,710,184 1.30 $1,708,806
Affirm Master Trust Series 2025-1 B 5.13% 15-FEB-2033, 5.13%, 02/15/33 AFRMT 2025-1A 00833BAB4 - 1,641,000 $1,650,618 $1,650,618 1.26 $1,649,215
PRPM 2025 RCF4 LLC 4.5% 55, 4.50%, 08/25/55 PRPM 2025-RCF3 69382WAC6 - 1,646,000 $1,622,399 $1,622,399 1.23 $1,612,112
METRONET INFRASTRUCTURE ISSU 5.4% 55, 5.40%, 08/20/55 MNET 2025-2A 59170JAX6 - 1,500,000 $1,523,890 $1,523,890 1.16 $1,516,915
Anchorage Capital CLO 7 CR3 6.1213% 28-APR-2037, 6.12%, 04/28/37 ANCHC 2015-7A 03328TBW4 - 1,500,000 $1,523,165 $1,523,165 1.16 $1,501,995
Voya CLO 2024-7 C 5.51763% 20-JAN-2038, 5.52%, 01/20/38 VOYA 2024-7A 92920XAL5 - 1,500,000 $1,522,756 $1,522,756 1.16 $1,501,835
Alloya Auto Receivables Trust 2025-1 B 4.99% 25-MAR-2030, 4.99%, 03/25/30 ALLCU 2025-1A 01986QAJ7 - 1,500,000 $1,511,967 $1,511,967 1.15 $1,506,561
GM Financial Automobile Leasing Trust 2025-3 C 4.6% 20-JAN-2030, 4.60%, 01/21/30 GMALT 2025-3 379965AG1 - 1,500,000 $1,505,330 $1,505,330 1.15 $1,499,388
OCCU Auto Receivables Trust 2025-1 (Oregon Community Credit Union) C 5.2% 15-OCT-2031, 5.20%, 10/15/31 OCCU 2025-1A 67098SAF7 - 1,480,000 $1,491,511 $1,491,511 1.14 $1,490,229
Western Funding Auto Loan Trust 2025-1 C 5.34% 15-NOV-2035, 5.34%, 11/15/35 WEFUN 2025-1 958250AC6 - 1,500,000 $1,490,265 $1,490,265 1.13 $1,488,930
Truist Bank Auto Credit Linked Notes, Series 2025-1 B 4.728% 25-SEP-2033, 4.73%, 09/26/33 TACLN 2025-1 897926CB5 - 1,483,587 $1,489,412 $1,489,412 1.13 $1,484,346
FHF Issuer Trust 2025-1 (First Help Financial Trust) C 5.69% 15-AUG-2031, 5.69%, 08/15/31 FHF 2025-1A 30340RAE6 - 1,500,000 $1,471,586 $1,471,586 1.12 $1,470,163
AQUA FINANCE ISSUER TRUST 2 5.24% 51, 5.24%, 05/17/51 AQFIT 2025-B 03837GAC1 - 1,438,500 $1,430,617 $1,430,617 1.09 $1,429,779
Avis Budget Rental Car Funding (AESOP) Series 2024-1 B 5.85% 20-JUN-2030, 5.85%, 06/20/30 AESOP 2024-1A 05377RHZ0 - 1,350,000 $1,394,167 $1,394,167 1.06 $1,387,366
United Auto Credit Securitization Trust 2025-1 C 5.15% 10-JUN-2030, 5.15%, 06/10/30 UACST 2025-1 90945JAC1 - 1,250,000 $1,251,225 $1,251,225 0.95 $1,249,258
FOUNDATION FINANCE TRUST 20 5.07% 52, 5.07%, 08/15/52 FFIN 2025-3A 35042TAC6 - 1,250,000 $1,248,781 $1,248,781 0.95 $1,247,724
AQUA FINANCE ISSUER TRUST 2 4.79% 51, 4.79%, 05/17/51 AQFIT 2025-B 03837GAA5 - 1,136,902 $1,130,944 $1,130,944 0.86 $1,130,339
Fidium and Fidium Fiber Finance Holdco, Series 2025-4 A2_254 5.522% 20-DEC-2055, 5.52%, 12/20/55 CNSL 2025-4A 315961AA0 - 1,000,000 $1,015,934 $1,015,934 0.77 $1,011,179
LIGHTPATH FIBER ISSUER 5.597%56 A2, 5.60%, 03/25/56 LPATH 2026-1A 53229YAA7 - 1,000,000 $1,014,521 $1,014,521 0.77 $1,007,059
BX Trust 2025-ARIA C 5.701211% 13-DEC-2042, 5.70%, 12/13/42 BX 2025-ARIA 05619TAE8 - 1,000,000 $1,012,729 $1,012,729 0.77 $1,009,562
Switch ABS Issuer, Series 2026-1 A2I_2601 5.609% 25-MAR-2056, 5.61%, 03/27/56 SWTCH 2026-1A 871044BA0 - 1,000,000 $1,011,337 $1,011,337 0.77 $1,007,286
Sotheby's ArtFi Master Trust Series 2026-1 C 5.0% 20-JUN-2033, 5.00%, 06/20/33 ARTFI 2026-1A 83589DAD8 - 1,000,000 $1,010,221 $1,010,221 0.77 $999,388
Westgate Resorts 2026-1 B 5.47% 20-OCT-2039, 5.47%, 10/20/39 WESTR 2026-1A 959921AB3 - 972,084 $1,006,929 $1,006,929 0.77 $975,907
OnDeck Asset Securitization IV, Series 2024-1 B 7.15% 17-JUN-2031, 7.15%, 06/17/31 ONDK 67118NAB3 - 1,000,000 $1,006,496 $1,006,496 0.77 $1,005,701
Tesla Lease Electric Vehicle Securitization 2025-A LLC 20-JUN-2029, 4.79%, 06/20/29 TLEVS 2025-A 88162VAF7 - 1,000,000 $1,006,146 $1,006,146 0.77 $1,002,021
Zayo Issuer LLC|5.546|04/20/2056, 5.55%, 04/20/56 ZAYO 2026-1A 98919WAU7 - 1,000,000 $1,005,983 $1,005,983 0.77 $1,005,521
GoodLeap Home Improvement Solutions Trust 2026-1 A 5.31% 20-DEC-2049, 5.31%, 12/20/49 GDLP 381951AA0 - 1,000,000 $1,005,105 $1,005,105 0.77 $1,003,482
Dell Equipment Finance Trust 2026-1|5.19|11/22/2032, 5.19%, 11/22/32 DEFT 2026-1A 246921AL4 - 1,000,000 $1,003,798 $1,003,798 0.76 $1,003,654
SCG Trust 2025-SNIP C 5.55471% 15-SEP-2042, 5.55%, 09/15/42 SCG 2025-SNIP 78398JAE4 - 1,000,000 $1,003,392 $1,003,392 0.76 $1,002,466
FNA 9, Series 2026-1 A 5.509% 15-DEC-2038, 5.51%, 04/16/46 FNH 2026-1 34411JAA8 - 1,000,000 $1,003,225 $1,003,225 0.76 $1,001,082
RCKTL 2025-2 0% 34, 4.95%, 11/27/34 RCKTL 2025-2A 74939HAC7 - 1,000,000 $1,001,740 $1,001,740 0.76 $998,165
Upgrade Master Pass-Thru Trust, Series 2026-ST1 C 5.13% 15-MAR-2034, 5.13%, 03/15/34 UMPT 2026-ST1 91533VAC0 - 1,000,000 $1,000,867 $1,000,867 0.76 $1,000,012
Di Issuer LLC, 5.31%, 12/15/55 LMDV 2025-1A 538908AA2 - 1,000,000 $1,000,775 $1,000,775 0.76 $999,890
Regents Capital Equipment Receivables 2026-1 LLC|5.11|01/31/2034, 5.11%, 01/31/34 RCER 2026-1A 758976AA2 - 1,000,000 $1,000,653 $1,000,653 0.76 $1,000,511
DELL EQUIPMENT FINANCE TRUS 5.23% 32, 4.83%, 03/22/32 DEFT 2025-2 24703VAL5 - 1,000,000 $1,000,491 $1,000,491 0.76 $996,600
Sabey Data Center Issuer, Series 2026-1 A2_2026_1 5.482% 20-JAN-2051, 5.48%, 01/20/51 SDCP 2026-1 78520EAK2 - 1,000,000 $999,362 $999,362 0.76 $994,641
CarMax Select Receivables Trust 2025-B C 4.83% 15-JUN-2031, 4.83%, 06/16/31 CMXS 2025-B 14320BAE9 - 1,000,000 $999,265 $999,265 0.76 $998,460
AutoNation Finance Trust 2026-1 (DRVPNK 2026-1) C 4.56% 11-OCT-2031, 4.56%, 10/14/31 DRVPNK 2026-1A 05330WAF6 - 1,000,000 $999,172 $999,172 0.76 $997,905
Upstart Securitization Trust 2025-3 B 5.02% 20-SEP-2035, 5.02%, 09/20/35 UPST 2025 91684FAC2 - 1,000,000 $998,958 $998,958 0.76 $994,635
QTS ISSUER ABS I 5.439%55, 5.44%, 05/25/55 QTS 2025-1A 74690DAA9 - 1,000,000 $998,647 $998,647 0.76 $994,718
Merchants Fleet Funding Series 2025-1 C 5.21% 20-JAN-2039, 5.21%, 01/20/39 MFF 2025-1A 588926AN5 - 1,000,000 $998,619 $998,619 0.76 $994,133
Credibly Asset Securitization II, Series 2026-1 A 5.4% 15-MAR-2032, 5.40%, 03/15/32 CRDBL 2026-1A 22530DAA2 - 1,000,000 $998,469 $998,469 0.76 $997,569
Corporate One Auto Receivables Trust 2026-1 C 4.84% 15-APR-2031, 4.84%, 04/15/31 COART 2026-1A 22004UAF0 - 1,000,000 $997,193 $997,193 0.76 $996,386
TRACKSIDE RAIL 2026 1 0%56 A, 4.89%, 03/20/56 MWCX 2026-1A 89239YAA9 - 1,000,000 $996,498 $996,498 0.76 $988,076
ARIVO ACCEPT AUTO LOAN 2025-1 C, 5.42%, 12/15/31 ARIVO 2025-1A 039962AC9 - 1,000,000 $996,278 $996,278 0.76 $995,375
COMPASS DATACENTERS 2025-1 B1, 5.76%, 05/25/50 CMPDC 2025-1A 20469CAC9 - 1,000,000 $994,671 $994,671 0.76 $990,514
LMRK Issuer Co. 2 , Series 2025-1 A2 5.52% 15-SEP-2055, 5.52%, 09/15/55 LMRK 2025-1A 50209AAH4 - 1,000,000 $994,639 $994,639 0.76 $993,719
CarMax Auto Owner Trust 2025-4 D 5.11% 15-MAR-2032, 5.11%, 05/17/32 CARMX 2025-4 14320HAH9 - 1,000,000 $994,542 $994,542 0.76 $993,690
Affirm Master Trust Series 2025-3 C 4.89% 15-OCT-2034, 4.89%, 10/16/34 AFRMT 2025-3A 00833BAQ1 - 1,000,000 $994,269 $994,269 0.76 $993,454
SOFI CONSUMER LOAN PROGRAM 4.91% 35, 4.91%, 08/25/35 SCLP 2025-4 83405UAC4 - 1,000,000 $994,065 $994,065 0.76 $990,519
Wingspire Equipment Finance 2025-1 C 4.76% 20-SEP-2033, 4.76%, 09/20/33 WEF 2025-1A 97415CAD0 - 1,000,000 $991,994 $991,994 0.76 $987,895
United Auto Credit Securitization Trust 2026-1 C 5.06% 10-JUN-2031, 5.06%, 06/10/31 UACST 2026-1 90945FAC9 - 1,000,000 $991,819 $991,819 0.75 $990,273
Exeter Automobile Receivables Trust 2026-1 C 4.4% 15-MAY-2032, 4.40%, 05/17/32 EART 2026-1A 30168HAE7 - 1,000,000 $991,791 $991,791 0.75 $991,058
Reach ABS Trust 2026-1 C 4.8% 15-FEB-2033, 4.80%, 02/15/33 REACH 2026-1A 75526XAC8 - 1,000,000 $991,057 $991,057 0.75 $990,257
SWITCH ABS ISSUER 2025-2 A2 II, 5.37%, 10/25/55 SWTCH 2025-2A 871044AU7 - 1,000,000 $988,432 $988,432 0.75 $984,557
Carvana Auto Receivables Trust 2025-P3 C 4.99% 10-JAN-2032, 4.99%, 01/12/32 CRVNA 2025-P3 14688AAF4 - 1,000,000 $986,321 $986,321 0.75 $984,797
QTS ISSUER ABS 2025-II 0%55 A2, 5.04%, 10/05/55 QTSII 2025-1A 74690FAA4 - 1,000,000 $984,906 $984,906 0.75 $982,664
Castlelake Aircraft Securitization Trust 2015-1, 5.07%, 03/15/51 CLAST 2026-1A 148924AA1 - 993,073 $980,205 $980,205 0.75 $979,365
PRM7 Trust 2025-PRM7 C 4.94108% 10-NOV-2042, 5.11%, 11/10/42 PRM7 2025-PRM7 74290HAE6 - 1,000,000 $979,736 $979,736 0.75 $976,899
UPX HIL 2025-1 ISSUER TR FLT 2047 A, 5.16%, 01/25/47 UPXHI 2025-1 916925AA8 - 975,255 $978,233 $978,233 0.74 $974,598
NMEF Funding 2026-A (North Mill Equipment Finance) C 4.71% 15-FEB-2034, 4.71%, 02/15/34 NMEF 2026-A 62919FAE6 - 1,000,000 $975,640 $975,640 0.74 $974,855
SF ABS ISSUER 2025-1 0%55 A2, 5.38%, 11/25/55 SFARM 2025-1A 784193AA2 - 1,000,000 $974,584 $974,584 0.74 $970,701
STACK INFRASTRUCTURE ISSUER A2, 5.00%, 03/27/56 SIDC 2026-1A 85236KAR3 - 1,000,000 $974,299 $974,299 0.74 $970,688
Extended Stay America Trust 2025-ESH C 5.53% 15-OCT-2042, 5.50%, 10/15/42 ESA 2025-ESH 30227TAE0 - 963,133 $965,142 $965,142 0.73 $964,258
Olympic Tower 2017-OT A 3.566% 10-MAY-2039, 3.57%, 05/10/39 OT 68162MAA0 - 975,000 $938,095 $938,095 0.71 $936,164
Research-Driven Pagaya Motor Asset Trust 2026-R1 (RPM 2026-R1) A 5.659% 25-JUL-2034, 5.66%, 07/25/34 RPM 2026-R1A 76089TAA8 - 900,000 $906,362 $906,362 0.69 $902,400
SIERRA TIMESHARE 2025-3 4.64%44 B, 4.64%, 08/22/44 SRFC 2025-3A 82650FAB3 - 896,340 $897,447 $897,447 0.68 $893,644
UPG HI 2025-2 ISSUER TRUST 0%47 A, 5.00%, 09/25/47 UPGHI 2025-2A 90321EAA0 - 869,483 $870,930 $870,930 0.66 $867,791
Avtech Equipment Receivables Funding 2026-1 A 4.55% 15-FEB-2033, 4.55%, 02/15/33 AVT 2026-1A 05452AAA7 - 820,292 $818,798 $818,798 0.62 $818,176
LUXURY LEASE PARTN 2025-A 5.51%32 A, 5.51%, 03/15/32 LLP 2025-A 55069BAA5 - 819,211 $818,131 $818,131 0.62 $817,379
Acacia 2025-1 A 5.24% 15-NOV-2037, 5.24%, 11/15/37 ACACIA 2025-1 00401PAA7 - 764,753 $766,463 $766,463 0.58 $765,795
Hertz Vehicle Financing III, Series 2023-3 B 6.53% 25-FEB-2028, 6.53%, 02/25/28 HERTZ 2023-3A 42806MCB3 - 750,000 $760,144 $760,144 0.58 $756,607
Bayview Opportunity Master Fund VII 2025-EDU1 B 5.3619% 25-JUL-2048, 5.36%, 07/27/48 BVCLN 2025-EDU1 07337GAB9 - 751,895 $754,081 $754,081 0.57 $751,058
GWT Commercial Mortgage Trust 2024-WLF2 A 5.34595% 15-MAY-2041, 5.35%, 05/15/41 GWT 2024-WLF2 362414AA2 - 750,000 $751,756 $751,756 0.57 $751,088
Oaktree ABF Equipment ST 2026-1 C 5.31% 15-OCT-2033, 5.31%, 10/17/33 OAKEF 2026-1A 67403GAD8 - 750,000 $749,885 $749,885 0.57 $747,119
BX Commercial Mortgage Trust 2026-CSMO C 5.67251% 15-FEB-2043, 5.65%, 02/15/43 BX 2026-CSMO 12433LAE5 - 700,000 $704,597 $704,597 0.54 $703,938
Lendbuzz Securitization Trust 2023-3 B 9.17% 15-APR-2029, 9.17%, 04/16/29 LBZZ 2023-3A 525931AC5 - 651,000 $676,350 $676,350 0.51 $675,355
Gracie Point International Funding, Series 2025-1 B 5.67223% 15-AUG-2028, 5.65%, 08/15/28 GPIF 2025-1A 38411WAB8 - 650,000 $654,197 $654,197 0.50 $652,155
VB-S1 Issuer Secured Tower Revenue Notes, Series 2024-1 (Vertical Bridge) C2_2024_1 5.553939% 15-MAY-2054, 5.59%, 05/15/54 VBTEL 2024-1A 91823ABC4 - 600,000 $605,529 $605,529 0.46 $604,970
Affirm Asset Securitization Trust 2025-X2 C 4.93% 15-OCT-2030, 4.93%, 10/15/30 AFFRM 2025-X2 00835DAC6 - 600,000 $600,542 $600,542 0.46 $600,049
Hilton Grand Vacations Trust 2024-3 B 5.27% 25-AUG-2040, 5.27%, 08/27/40 HGVT 2024-3A 43283NAB3 - 543,336 $549,274 $549,274 0.42 $547,206
Upgrade Auto Receivables Trust 2025-1 C 5.55% 15-APR-2032, 5.55%, 04/15/32 UPGA 2025-1A 91531AAF1 - 500,000 $500,135 $500,135 0.38 $499,673
Carvana Auto Receivables Trust 2023-P3 C 6.09% 10-NOV-2029, 6.09%, 11/13/29 CRVNA 2023-P3 14688GAF1 - 427,000 $440,597 $440,597 0.34 $439,802
Santander Bank Auto Credit-Linked Notes, Series 2023-B B 5.64% 15-DEC-2033, 5.64%, 12/15/33 SBCLN 2023-B 80290CCB8 - 397,486 $401,458 $401,458 0.31 $401,084
VB-S1 Issuer Secured Tower Revenue Notes, Series 2022-1 (Vertical Bridge) C21_2022_1 3.042933% 15-FEB-2052, 3.16%, 02/15/52 VBTEL 2022-1A 91823AAU5 - 400,000 $391,320 $391,320 0.30 $391,109
OneMain Financial Issuance Trust 2020-2 B 2.21% 14-SEP-2035, 2.21%, 09/14/35 OMFIT 682696AB5 - 381,000 $369,361 $369,361 0.28 $369,197
Research-Driven Pagaya Motor Asset Trust 2026-R1 (RPM 2026-R1) B 6.211% 25-JUL-2034, 6.21%, 07/25/34 RPM 2026-R1A 76089TAB6 - 350,000 $351,348 $351,348 0.27 $349,657
Tricolor Auto Securitization Trust 2024-1 D 8.61% 15-APR-2028, 8.61%, 04/17/28 TAST 2024-1A 89616LAD4 - 520,000 $309,462 $309,462 0.24 $308,716
Freddie Mac Structured Agency Credit Risk (STACR) REMIC Trust 2025-DNA2 M1 4.8619% 25-MAY-2045, 4.86%, 05/25/45 STACR 2025-DNA2 35564NHZ9 - 210,101 $210,891 $210,891 0.16 $210,125
FHF Issuer Trust 2024-2 (First Help Financial) C 6.43% 15-JUL-2030, 6.43%, 07/15/30 FHF 2024-2A 30336NAG6 - 200,000 $200,157 $200,157 0.15 $199,943
Aqua Finance Trust 2021-A A 1.54% 17-JUL-2046, 1.54%, 07/17/46 AQFIT 2021-A 03842VAA5 - 217,073 $198,750 $198,750 0.15 $198,713
Hotwire Funding, Series 2021-1 A2_2021_1 2.311% 20-NOV-2051, 2.31%, 11/20/51 HWIRE 2021-1 44148JAA7 - 200,000 $197,758 $197,758 0.15 $197,360
Connecticut Avenue Securities Trust 2025-R04 25-MAY-2045, 4.86%, 05/25/45 CAS 2025-R04 20755TAB7 - 196,575 $197,365 $197,365 0.15 $196,648
Huntington Bank Auto Credit-Linked Notes, Series 2025-1 B 4.957% 20-MAR-2033, 4.96%, 03/21/33 HACLN 2025-1 446438SX2 - 195,214 $196,621 $196,621 0.15 $195,788
FHF Issuer Trust 2024-2 (First Help Financial) A2 5.89% 15-JUN-2030, 5.89%, 06/15/30 FHF 2024-2A 30336NAC5 - 179,684 $180,883 $180,883 0.14 $180,707
SCCU Auto Receivables Trust 2023-1 (Space Coast Credit Union) A3 5.7% 15-OCT-2028, 5.70%, 10/16/28 SCCU 2023-1A 805922AE1 - 140,886 $141,592 $141,592 0.11 $141,459
MVW 2023-1 B 5.42% 20-OCT-2040, 5.42%, 10/20/40 MVWOT 2023-1A 62848PAB6 - 119,880 $121,375 $121,375 0.09 $120,798
Marlette Funding Trust 2025-1 B 4.95% 15-JUL-2035, 4.95%, 07/16/35 MFT 2025-1A 570920AB4 - 110,000 $110,262 $110,262 0.08 $110,171
Huntington Bank Auto Credit-Linked Notes, Series 2024-1 B1 6.153% 20-MAY-2032, 6.15%, 05/20/32 HACLN 2024-1 44644NAA7 - 100,005 $101,762 $101,762 0.08 $101,232
Ally Bank Auto Credit-Linked Notes, Series 2024-A B 5.827% 15-MAY-2032, 5.83%, 05/17/32 ABCLN 2024-A 02007GZ55 - 98,450 $99,783 $99,783 0.08 $99,687
Flagship Credit Auto Trust 2023-1 B 5.05% 15-FEB-2028, 5.05%, 01/18/28 FCAT 2023-1 337955AG3 - 82,100 $82,198 $82,198 0.06 $82,129
Lendbuzz Securitization Trust 2023-1 A2 6.92% 15-AUG-2028, 6.92%, 08/15/28 LBZZ 2023-1A 52608LAB6 - 80,826 $81,529 $81,529 0.06 $81,436
DLLMT 2023-1 A3 5.34% 20-APR-2027, 5.34%, 03/22/27 DLLMT 2023-1A 232989AC7 - 61,421 $61,923 $61,923 0.05 $61,561
Westlake Automobile Receivables Trust 2023-2 C 6.29% 15-MAR-2028, 6.29%, 03/15/28 WLAKE 2023-2A 959926AF3 - 52,169 $52,289 $52,289 0.04 $52,235
Flagship Credit Auto Trust 2021-1 D 1.27% 15-MAR-2027, 1.27%, 03/15/27 FCAT 2021-1 33843WAG6 - 44,426 $44,309 $44,309 0.03 $44,299
Carvana Auto Receivables Trust 2023-P2 A3 5.42% 10-AUG-2028, 5.42%, 04/10/28 CRVNA 2023-P2 14686TAC2 - 31,785 $31,885 $31,885 0.02 $31,832
DLLST 2024-1 A3 5.05% 20-AUG-2027, 5.05%, 08/20/27 DLLST 2024-1A 23346HAC1 - 8,386 $8,452 $8,452 0.01 $8,410
Santander Drive Auto Receivables Trust 2022-2 C 3.76% 15-JUL-2029, 3.76%, 07/16/29 SDART 2022-2 80286MAE8 - 8,161 $8,162 $8,162 0.01 $8,157
CPS Auto Receivables Trust 2024-D A 4.91% 15-JUN-2028, 4.91%, 06/15/28 CPS 2024-D 22411JAA3 - 1,612 $1,614 $1,614 0.00 $1,613
US 2YR NOTE (CBT) Jun26 JUN 26 TUM6 FUTURES_USD - -5.00 $-1,038,789 $0 0.00 $0
US 10YR NOTE (CBT)Jun26 JUN 26 TYM6 FUTURES_USD - 46.00 $5,136,188 $0 0.00 $0
US 10yr Ultra Fut Jun26 JUN 26 UXYM6 FUTURES_USD - -56.00 $-6,391,000 $0 0.00 $0
SEGREGATED CASH SEGCASH $0.00 260,000 $260,000 $260,000 0.20 $260,000
US DOLLARS USD MD_142224 - 53,286 $53,286 $53,286 0.04 $53,286
Janus Henderson publishes this listing of identities and quantities of each position held by the fund on each business day, before commencement of trading. Securities are reported at market value.
The portfolio data and its presentation here is based on the investment book of record and may differ from the accounting book of record and complete schedules of investments in regulatory filings due to differing accounting and reporting standards.