Please ensure Javascript is enabled for purposes of website accessibility Emerging Markets Debt Hard Currency ETF - Janus Henderson Investors - LatAm Mexico PA
For professional investors in Mexico

JEMB Emerging Markets Debt Hard Currency ETF

Seeking to capture market inefficiencies within emerging markets debt to generate consistent risk-adjusted returns over the long-term

NAV
$50.63
As of 10/02/2025

1-Day Change
-$0.11 (-0.22%)
As of 10/02/2025

YTD Return
2.04%
As of 10/02/2025

Overview

About this ETF

An ETF which seeks to deliver consistent risk-adjusted returns, by considering the full universe of Emerging Markets (EM) hard currency bonds. It invests primarily in a diversified portfolio of sovereign, quasi-sovereign, supranational and corporate debt from EM issuers. The ETF is benchmarked against the JP Morgan EMBI Global Core Index. Its opportunity set includes bonds in the index and bonds that are not index-eligible. The primary focus is on country allocation and security selection to generate excess returns, rather than relying on large thematic or macroeconomic drivers.

Past performance does not predict future returns. 
 

Why Invest in this ETF

Established and unique active investment approach
An experienced team with a focus on Emerging Markets hard currency bonds that has remained unchanged since August 2013.

Credit risk premia focused
Our proprietary forward-looking country ratings model and valuation framework is designed to provide a quantitative and qualitative foundation to allocate risk across countries, and implemented through bottom-up security selection.

Disciplined investment process
We employ a highly disciplined approach to country allocation, security selection and portfolio construction, which seeks to emphasize diversification and the active management of credit risk rather than global macroeconomic factors.

Portfolio Management

Bent Lystbaek

Portfolio Manager

Industry since 1986. Joined Firm in 2022.

Jacob Nielsen

Portfolio Manager

Industry since 2002. Joined Firm in 2022.

Thomas Haugaard

Portfolio Manager

Industry since 2004. Joined Firm in 2022.

Sorin Pirau, CFA

Portfolio Manager

Industry since 2012. Joined Firm in 2022.

Performance

RETURNS (%) (As of 31/12/2024)
Nav Market-Price JPM EMBI Global Core Index
 
3M Since Inception
(13/08/2024)
Nav -1.72 2.32
Market-Price -2.03 2.30
JPM EMBI Global Core Index -2.31 1.07
RETURNS (%) (As of 31/01/2025)
Nav Market-Price JPM EMBI Global Core Index
 
3M YTD Since Inception
(13/08/2024)
Nav 1.61 1.64 4.01
Market-Price 1.77 1.98 4.33
JPM EMBI Global Core Index 0.97 1.34 2.42

Premium/Discount History

Growth of a Hypothetical Investment

@Nav JPM EMBI Global Core Index Emerging Markets Bond
DISTRIBUTION OVERVIEW
Ex-DateRecord DatePayable DateOrdinary IncomeShort-Term Capital GainsLong-Term Capital GainsTotal Distribution
03/02/202503/02/202507/02/2025$0.296235$0.0000000$0.0000000$0.296235
23/12/202423/12/202430/12/2024$0.291828$0.0000000$0.0000000$0.291828
02/12/202402/12/202406/12/2024$0.359801$0.0000000$0.0000000$0.359801
01/11/202401/11/202407/11/2024$0.306788$0.0000000$0.0000000$0.306788
01/10/202401/10/202407/10/2024$0.3037080$0.0000000$0.0000000$0.3037080
View Full History

Portfolio

Index represents the JP Morgan EMBI Global Core Index

Top Holdings (As of 10/02/2025)
% of Fund
Ghana Government International Bond|5|07/03/2029, 5.00%, 07/03/29 2.71
Qatar Government International Bond|4.75|05/29/2034, 4.75%, 05/29/34 1.79
Dominican Republic International Bond|4.875|09/23/2032, 4.88%, 09/23/32 1.63
Qatar Government International Bond|4.4|04/16/2050, 4.40%, 04/16/50 1.32
Saudi Government International Bond|5|01/16/2034, 5.00%, 01/16/34 1.24
Petroleos Mexicanos|5.95|01/28/2031, 5.95%, 01/28/31 1.06
Oman Government International Bond|6.5|03/08/2047, 6.50%, 03/08/47 1.06
Turkiye Ihracat Kredi Bankasi AS|7.5|02/06/2028, 7.50%, 02/06/28 1.03
EDO Sukuk Ltd|5.662|07/03/2031, 5.66%, 07/03/31 1.02
Ukraine Government International Bond|0|08/01/2041, 0.00%, 08/01/41 1.02
View full holdings
Portfolio Characteristics (As of 10/02/2025)
 
Number of Holdings
Debt Issues
218
Portfolio Turnover Rate
(1-year trailing)
-
Weighted Average Maturity
(years)
10.10
Effective Duration
(years)
6.94
Yield to Worst
7.29%
Sector Allocation % of Fund % of Fund As of 10/02/2025
Regional Allocation % of Fund % of Fund As of February 10, 2025
Credit Quality of Fixed Income Holdings % of Fund % of Fund As of February 10, 2025
Maturity Breakdown of Fixed Income Holdings % of Fund % of Fund As of 10/02/2025

Documents

  • The value of the Funds and the income from them is not guaranteed and may fall as well as rise. You may get back less than you originally invested.
  • Past performance does not predict future returns.
  • Third party data is believed to be reliable, but its completeness and accuracy is not guaranteed.
  • Funds incur costs as a necessary part of buying and selling the underlying investments, these are otherwise known as portfolio transaction costs, and include charges such as broker commission and Stamp Duty.
  • Before investing in any of our funds you should satisfy yourself as to the suitability and the risks involved.
  • Summary of Investor rights
  • The Legal Entity Identifier for this product is 529900QLTSH6GU0R4M68.