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For Financial Professionals in the US

Corporate Bond ETF Holdings

Full Portfolio Holdings

(As of 12/02/2024)

Ticker Cusip Underlying Security Strike Price Quantity (Shares/ Par/ Units/ Contracts) Notional Value Market Value Weight % Current Market Value
Antero Resources Corp|5.375|03/01/2030, 5.38%, 03/01/30 AR 03674XAS5 - - 484,000 - $482,725 1.54 -
Discover Financial Services|7.964|11/02/2034, 7.96%, 11/02/34 DFS 254709AT5 - - 408,000 - $478,763 1.52 -
CF Hippolyta Issuer LLC|1.98|03/15/2061, 1.98%, 03/15/61 SORT 2021-1A 12530MAG0 - - 510,807 - $473,533 1.50 -
LPL Holdings Inc|6|05/20/2034, 6.00%, 05/20/34 LPLA 50212YAK0 - - 385,000 - $400,629 1.27 -
Blue Owl Finance LLC|6.25|04/18/2034, 6.25%, 04/18/34 OWL 09581JAT3 - - 373,000 - $395,488 1.25 -
ConocoPhillips Co|5.65|01/15/2065, 5.65%, 01/15/65 COP 20826FBN5 - - 370,000 - $375,536 1.19 -
Celanese US Holdings LLC|6.8|11/15/2030, 6.80%, 11/15/30 CE 15089QAX2 - - 351,000 - $370,722 1.18 -
Gartner Inc|3.75|10/01/2030, 3.75%, 10/01/30 IT 366651AE7 - - 396,000 - $368,326 1.17 -
CBRE Services Inc|5.95|08/15/2034, 5.95%, 08/15/34 CBG 12505BAG5 - - 310,000 - $332,346 1.05 -
PPL Capital Funding Inc|5.25|09/01/2034, 5.25%, 09/01/34 PPL 69352PAT0 - - 317,000 - $326,186 1.03 -
XCEL ENERGY INC|5.45|08/15/2033, 5.45%, 08/15/33 XEL 98389BBA7 - - 315,000 - $325,902 1.03 -
NNN REIT Inc|5.5|06/15/2034, 5.50%, 06/15/34 NNN 637417AT3 - - 308,000 - $324,011 1.03 -
Charter Communications Operating LLC / Charter Communications Operating Capital|6.65|02/01/2034, 6.65%, 02/01/34 CHTR 161175CP7 - - 300,000 - $323,119 1.02 -
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl|3.625|01/15/2032, 3.62%, 01/15/32 JBSSBZ 46590XAU0 - - 355,000 - $322,298 1.02 -
Danske Bank A/S|5.705|03/01/2030, 5.71%, 03/01/30 DANBNK 23636ABH3 - - 310,000 - $322,199 1.02 -
Berry Global Inc|5.8|06/15/2031, 5.80%, 06/15/31 BERY 08576BAA0 - - 302,000 - $321,536 1.02 -
GLP Capital LP / GLP Financing II Inc|5.625|09/15/2034, 5.62%, 09/15/34 GLPI 361841AT6 - - 313,000 - $321,011 1.02 -
Lloyds Banking Group PLC|3.511|03/18/2026, 3.51%, 03/18/26 LLOYDS 53944YAR4 - - 320,000 - $320,697 1.02 -
Pilgrim's Pride Corp|3.5|03/01/2032, 3.50%, 03/01/32 PPC 72147KAH1 - - 357,000 - $317,830 1.01 -
Crown Castle Inc|5.2|09/01/2034, 5.20%, 09/01/34 CCI 22822VBG5 - - 314,000 - $317,817 1.01 -
Colombia Government International Bond|7.75|11/07/2036, 7.75%, 11/07/36 COLOM 195325EP6 - - 315,000 - $317,693 1.01 -
BANK OF AMERICA CORP|5.468|01/23/2035, 5.47%, 01/23/35 BAC 06051GMA4 - - 303,000 - $317,650 1.01 -
Videotron Ltd|5.7|01/15/2035, 5.70%, 01/15/35 QBRCN 92660FAT1 - - 312,000 - $317,428 1.01 -
PNC Financial Services Group Inc|4.812|10/21/2032, 4.81%, 10/21/32 PNC 693475CA1 - - 318,000 - $316,894 1.01 -
VICI Properties LP / VICI Note Co Inc|3.875|02/15/2029, 3.88%, 02/15/29 VICI 92564RAL9 - - 329,000 - $316,270 1.00 -
Frontier Communications Holdings LLC|8.625|03/15/2031, 8.62%, 03/15/31 FYBR 35908MAE0 - - 287,000 - $314,546 1.00 -
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC|4.875|02/15/2030, 4.88%, 02/15/30 ACI 013092AE1 - - 320,000 - $312,842 0.99 -
BP Capital Markets PLC|6.125|06/18/2199, 6.12%, 06/18/99 BPLN 05565QDX3 - - 312,000 - $310,307 0.98 -
Equinix Europe 2 Financing Corp LLC|5.5|06/15/2034, 5.50%, 06/15/34 EQIX 29390XAA2 - - 260,000 - $274,130 0.87 -
Goldman Sachs Group Inc|5.851|04/25/2035, 5.85%, 04/25/35 GS 38141GA95 - - 256,000 - $270,243 0.86 -
PNC Financial Services Group Inc|6.037|10/28/2033, 6.04%, 10/28/33 PNC 693475BJ3 - - 233,000 - $248,216 0.79 -
Citigroup Inc|2.561|05/01/2032, 2.56%, 05/01/32 C 172967MY4 - - 284,000 - $246,196 0.78 -
United Airlines 2014-2 Class A Pass Through Trust|3.75|09/03/2026, 3.75%, 09/03/26 UAL 90932QAA4 - - 248,058 - $244,747 0.78 -
Willis North America Inc|5.35|05/15/2033, 5.35%, 05/15/33 WTW 970648AM3 - - 236,000 - $240,950 0.76 -
OneMain Finance Corp|6.625|05/15/2029, 6.62%, 05/15/29 OMF 682691AH3 - - 234,000 - $239,651 0.76 -
Jane Street Group / JSG Finance Inc|6.125|11/01/2032, 6.12%, 11/01/32 JANEST 47077WAD0 - - 236,000 - $238,616 0.76 -
SMBC Aviation Capital Finance DAC|5.3|04/03/2029, 5.30%, 04/03/29 SMBCAC 78448TAL6 - - 233,000 - $238,201 0.76 -
CoStar Group Inc|2.8|07/15/2030, 2.80%, 07/15/30 CSGP 22160NAA7 - - 266,000 - $237,994 0.75 -
Goldman Sachs Group Inc|5.016|10/23/2035, 5.02%, 10/23/35 GS 38141GB78 - - 239,000 - $237,713 0.75 -
Berry Global Inc|5.65|01/15/2034, 5.65%, 01/15/34 BERY 08576PAP6 - - 227,000 - $237,362 0.75 -
Williams Cos Inc|3.9|01/15/2025, 3.90%, 01/15/25 WMB 96950FAQ7 - - 233,000 - $236,165 0.75 -
Sun Communities Operating LP|2.7|07/15/2031, 2.70%, 07/15/31 SUI 866677AE7 - - 266,000 - $230,851 0.73 -
McCormick & Co Inc/MD|4.7|10/15/2034, 4.70%, 10/15/34 MKC 579780AU1 - - 236,000 - $230,479 0.73 -
CVS Health Corp|5.7|06/01/2034, 5.70%, 06/01/34 CVS 126650ED8 - - 225,000 - $230,414 0.73 -
Heartland Dental LLC / Heartland Dental Finance Corp|10.5|04/30/2028, 10.50%, 04/30/28 HEARTL 42239PAB5 - - 215,000 - $230,376 0.73 -
Teva Pharmaceutical Finance Netherlands III BV|8.125|09/15/2031, 8.12%, 09/15/31 TEVA 88167AAR2 - - 200,000 - $228,183 0.72 -
Solventum Corp|5.45|03/13/2031, 5.45%, 03/13/31 SOLV 83444MAE1 - - 221,000 - $227,296 0.72 -
Coca-Cola Consolidated Inc|5.45|06/01/2034, 5.45%, 06/01/34 COKE 191098AP7 - - 216,000 - $222,410 0.71 -
Huntsman International LLC|5.7|10/15/2034, 5.70%, 10/15/34 HUN 44701QBG6 - - 224,000 - $222,131 0.70 -
Marex Group PLC|6.404|11/04/2029, 6.40%, 11/04/29 MARGRO 566539AA0 - - 217,000 - $220,630 0.70 -
National Australia Bank Ltd|2.99|05/21/2031, 2.99%, 05/21/31 NAB 632525AY7 - - 250,000 - $220,317 0.70 -
Solvay Finance America LLC|5.85|06/04/2034, 5.85%, 06/04/34 SYENS 834423AF2 - - 203,000 - $216,864 0.69 -
Broadcom Inc|4.926|05/15/2037, 4.93%, 05/15/37 AVGO 11135FBV2 - - 222,000 - $216,270 0.69 -
ING GROEP NV|6.114|09/11/2034, 6.11%, 09/11/34 INTNED 456837BH5 - - 200,000 - $214,678 0.68 -
Foundry JV Holdco LLC|6.25|01/25/2035, 6.25%, 01/25/35 FABSJV 350930AD5 - - 200,000 - $214,006 0.68 -
Barclays PLC|6.49|09/13/2029, 6.49%, 09/13/29 BACR 06738ECK9 - - 200,000 - $212,904 0.68 -
Ford Motor Credit Co LLC|6.798|11/07/2028, 6.80%, 11/07/28 F 345397D59 - - 200,000 - $210,485 0.67 -
Fiserv Inc|5.15|08/12/2034, 5.15%, 08/12/34 FI 337738BN7 - - 204,000 - $207,782 0.66 -
Ally Financial Inc|6.184|07/26/2035, 6.18%, 07/26/35 ALLY 02005NBV1 - - 200,000 - $207,549 0.66 -
Fifth Third Bancorp|5.631|01/29/2032, 5.63%, 01/29/32 FITB 316773DL1 - - 198,000 - $207,442 0.66 -
LIBERTY UTILITIES CO|5.869|01/31/2034, 5.87%, 01/31/34 AQNCN 531542AB4 - - 198,000 - $207,101 0.66 -
Ventas Realty LP|5|01/15/2035, 5.00%, 01/15/35 VTR 92277GBA4 - - 209,000 - $207,061 0.66 -
Nationwide Building Society|5.127|07/29/2029, 5.13%, 07/29/29 NWIDE 63861VAK3 - - 200,000 - $206,192 0.65 -
SMBC Aviation Capital Finance DAC|5.55|04/03/2034, 5.55%, 04/03/34 SMBCAC 78448TAM4 - - 200,000 - $205,362 0.65 -
Goldman Sachs Group Inc|5.727|04/25/2030, 5.73%, 04/25/30 GS 38141GA87 - - 197,000 - $204,454 0.65 -
Genesee & Wyoming Inc|6.60367|04/10/2031, 6.60%, 04/10/31 GWR 37156QAZ9 - - 200,612 - $203,414 0.65 -
LifePoint Health Inc|8.4059|05/19/2031, 8.41%, 05/19/31 RGCARE 75915TAK8 - - 199,996 - $203,016 0.64 -
Huntington Ingalls Industries Inc|4.2|05/01/2030, 4.20%, 05/01/30 HII 446413AT3 - - 208,000 - $199,373 0.63 -
Health Care Service Corp A Mutual Legal Reserve Co|5.875|06/15/2054, 5.88%, 06/15/54 HCSERV 42218SAM0 - - 185,000 - $194,597 0.62 -
General Motors Financial Co Inc|6.1|01/07/2034, 6.10%, 01/07/34 GM 37045XEP7 - - 182,000 - $194,237 0.62 -
Humana Inc|5.375|04/15/2031, 5.38%, 04/15/31 HUM 444859CA8 - - 185,000 - $188,335 0.60 -
Choice Hotels International Inc|5.85|08/01/2034, 5.85%, 08/01/34 CHH 169905AH9 - - 177,000 - $185,508 0.59 -
GGAM Finance Ltd|8|06/15/2028, 8.00%, 06/15/28 GGAMFI 36170JAA4 - - 168,000 - $183,959 0.58 -
US Bancorp|5.836|06/12/2034, 5.84%, 06/12/34 USB 91159HJN1 - - 169,000 - $181,431 0.58 -
Agree LP|5.625|06/15/2034, 5.62%, 06/15/34 ADC 008513AE3 - - 156,000 - $165,114 0.52 -
Health Care Service Corp A Mutual Legal Reserve Co|5.45|06/15/2034, 5.45%, 06/15/34 HCSERV 42218SAL2 - - 158,000 - $164,848 0.52 -
Morgan Stanley|5.32|07/19/2035, 5.32%, 07/19/35 MS 61747YFT7 - - 157,000 - $162,547 0.52 -
General Motors Financial Co Inc|5.6|06/18/2031, 5.60%, 06/18/31 GM 37045XEY8 - - 155,000 - $162,124 0.51 -
Morgan Stanley|5.297|04/20/2037, 5.30%, 04/20/37 MS 61747YES0 - - 162,000 - $161,485 0.51 -
Smith & Nephew PLC|5.4|03/20/2034, 5.40%, 03/20/34 SNLN 83192PAD0 - - 157,000 - $160,842 0.51 -
Citigroup Inc|3.878|01/24/2039, 3.88%, 01/24/39 C 172967LU3 - - 182,000 - $160,659 0.51 -
HCA Inc|3.5|09/01/2030, 3.50%, 09/01/30 HCA 404119CA5 - - 172,000 - $160,357 0.51 -
American Homes 4 Rent LP|5.5|02/01/2034, 5.50%, 02/01/34 AMH 02666TAG2 - - 154,000 - $159,778 0.51 -
Martin Marietta Materials Inc|5.5|12/01/2054, 5.50%, 12/01/54 MLM 573284BB1 - - 157,000 - $158,841 0.50 -
Universal Health Services Inc|2.65|01/15/2032, 2.65%, 01/15/32 UHS 913903BA7 - - 187,000 - $158,658 0.50 -
Martin Marietta Materials Inc|5.15|12/01/2034, 5.15%, 12/01/34 MLM 573284BA3 - - 157,000 - $158,635 0.50 -
Universal Health Services Inc|1.65|09/01/2026, 1.65%, 09/01/26 UHS 913903AZ3 - - 167,000 - $158,550 0.50 -
Boeing Co|6.528|05/01/2034, 6.53%, 05/01/34 BA 097023DL6 - - 148,000 - $158,277 0.50 -
Blackstone Secured Lending Fund|5.875|11/15/2027, 5.88%, 11/15/27 BXSL 09261XAH5 - - 154,000 - $157,874 0.50 -
Synchrony Financial|2.875|10/28/2031, 2.88%, 10/28/31 SYF 87165BAR4 - - 185,000 - $157,117 0.50 -
Southern Co|5.7|03/15/2034, 5.70%, 03/15/34 SO 842587DT1 - - 148,000 - $157,069 0.50 -
Sixth Street Lending Partners|6.5|03/11/2029, 6.50%, 03/11/29 SIXSLP 829932AA0 - - 152,000 - $157,044 0.50 -
Alpha Generation LLC|6.75|10/15/2032, 6.75%, 10/15/32 ALPGEN 02073LAA9 - - 153,000 - $156,995 0.50 -
AerCap Ireland Capital DAC / AerCap Global Aviation Trust|4.95|09/10/2034, 4.95%, 09/10/34 AER 00774MBM6 - - 159,000 - $156,973 0.50 -
Occidental Petroleum Corp|5.375|01/01/2032, 5.38%, 01/01/32 OXY 674599EK7 - - 154,000 - $156,846 0.50 -
HCA Inc|5.5|06/01/2033, 5.50%, 06/01/33 HCA 404119CQ0 - - 154,000 - $156,146 0.50 -
Oracle Corp|6.9|11/09/2052, 6.90%, 11/09/52 ORCL 68389XCK9 - - 132,000 - $156,093 0.50 -
EQM Midstream Partners LP|6.375|04/01/2029, 6.38%, 04/01/29 EQM 26885BAP5 - - 151,000 - $155,989 0.49 -
Hasbro Inc|6.05|05/14/2034, 6.05%, 05/14/34 HAS 418056BA4 - - 149,000 - $154,531 0.49 -
Capital One Financial Corp|7.624|10/30/2031, 7.62%, 10/30/31 COF 14040HDC6 - - 137,000 - $154,129 0.49 -
NiSource Inc|6.375|03/31/2055, 6.38%, 03/31/55 NI 65473PAT2 - - 149,000 - $151,942 0.48 -
Macquarie Airfinance Holdings Ltd|5.15|03/17/2030, 5.15%, 03/17/30 MCAIRH 55609NAE8 - - 152,000 - $151,925 0.48 -
Accenture Capital Inc|4.5|10/04/2034, 4.50%, 10/04/34 ACN 00440KAD5 - - 154,000 - $151,170 0.48 -
CVS Health Corp|5.05|03/25/2048, 5.05%, 03/25/48 CVS 126650CZ1 - - 164,000 - $147,957 0.47 -
NextEra Energy Operating Partners LP|7.25|01/15/2029, 7.25%, 01/15/29 NEP 65342QAM4 - - 135,000 - $142,728 0.45 -
Humana Inc|3.95|08/15/2049, 3.95%, 08/15/49 HUM 444859BL5 - - 180,000 - $141,096 0.45 -
Illumina Inc|2.55|03/23/2031, 2.55%, 03/23/31 ILMN 452327AM1 - - 162,000 - $140,702 0.45 -
DT Midstream Inc|5.8|12/15/2034, 5.80%, 12/15/34 DTMINC 23345MAD9 - - 134,000 - $136,790 0.43 -
Columbia Pipelines Operating Co LLC|6.714|08/15/2063, 6.71%, 08/15/63 CPGX 19828TAD8 - - 113,000 - $129,704 0.41 -
T-Mobile USA Inc|3|02/15/2041, 3.00%, 02/15/41 TMUS 87264ABL8 - - 169,000 - $128,304 0.41 -
UnitedHealth Group Inc|5.625|07/15/2054, 5.62%, 07/15/54 UNH 91324PFL1 - - 120,000 - $127,432 0.40 -
Columbia Pipelines Holding Co LLC|5.097|10/01/2031, 5.10%, 10/01/31 CPGX 19828AAD9 - - 127,000 - $126,975 0.40 -
JPMORGAN CHASE & CO|5.336|01/23/2035, 5.34%, 01/23/35 JPM 46647PEC6 - - 122,000 - $126,849 0.40 -
Broadcom Inc|3.187|11/15/2036, 3.19%, 11/15/36 AVGO 11135FBQ3 - - 144,000 - $118,715 0.38 -
Gartner Inc|3.625|06/15/2029, 3.62%, 06/15/29 IT 366651AG2 - - 123,000 - $117,238 0.37 -
Duke Energy Progress LLC|5.35|03/15/2053, 5.35%, 03/15/53 DUK 26442UAR5 - - 114,000 - $116,007 0.37 -
Historic TW Inc|8.3|01/15/2036, 8.30%, 01/15/36 TWX 887315AZ2 - - 104,000 - $115,388 0.37 -
Solventum Corp|6|05/15/2064, 6.00%, 05/15/64 SOLV 83444MAL5 - - 110,000 - $113,114 0.36 -
Regal Rexnord Corp|6.3|02/15/2030, 6.30%, 02/15/30 RRX 758750AN3 - - 106,000 - $112,727 0.36 -
EQM Midstream Partners LP|4.75|01/15/2031, 4.75%, 01/15/31 EQM 26885BAL4 - - 115,000 - $112,690 0.36 -
Morgan Stanley|5.449|07/20/2029, 5.45%, 07/20/29 MS 61747YFF7 - - 108,000 - $112,514 0.36 -
Teva Pharmaceutical Finance Co LLC|6.15|02/01/2036, 6.15%, 02/01/36 TEVA 88163VAD1 - - 109,000 - $112,402 0.36 -
NRG Energy Inc|6|02/01/2033, 6.00%, 02/01/33 NRG 629377CW0 - - 112,000 - $112,245 0.36 -
Blue Owl Capital Corp III|3.125|04/13/2027, 3.12%, 04/13/27 ORCIII 69122JAC0 - - 118,000 - $111,885 0.35 -
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC|4.625|01/15/2027, 4.62%, 01/15/27 ACI 013092AC5 - - 111,000 - $110,627 0.35 -
Humana Inc|5.95|03/15/2034, 5.95%, 03/15/34 HUM 444859BY7 - - 105,000 - $110,540 0.35 -
Elevance Health Inc|6.1|10/15/2052, 6.10%, 10/15/52 ELV 036752AX1 - - 100,000 - $108,166 0.34 -
Nasdaq Inc|5.55|02/15/2034, 5.55%, 02/15/34 NDAQ 63111XAJ0 - - 103,000 - $108,030 0.34 -
RTX CORP|6.1|03/15/2034, 6.10%, 03/15/34 RTX 75513ECW9 - - 98,000 - $106,817 0.34 -
Wells Fargo & Co|5.499|01/23/2035, 5.50%, 01/23/35 WFC 95000U3K7 - - 100,000 - $104,547 0.33 -
Abbott Laboratories|6.15|11/30/2037, 6.15%, 11/30/37 ABT 002819AC4 - - 93,000 - $104,347 0.33 -
ARTHUR J GALLAGHER & CO|5.45|07/15/2034, 5.45%, 07/15/34 AJG 04316JAH2 - - 98,000 - $102,588 0.33 -
Boeing Co|5.15|05/01/2030, 5.15%, 05/01/30 BA 097023CY9 - - 101,000 - $101,054 0.32 -
Boeing Co|3.825|03/01/2059, 3.82%, 03/01/59 BA 097023CF0 - - 146,000 - $99,106 0.31 -
Willis North America Inc|3.875|09/15/2049, 3.88%, 09/15/49 WTW 970648AK7 - - 125,000 - $99,002 0.31 -
NRG Energy Inc|6.25|11/01/2034, 6.25%, 11/01/34 NRG 629377CX8 - - 97,000 - $98,118 0.31 -
Warnermedia Holdings Inc|5.141|03/15/2052, 5.14%, 03/15/52 WBD 55903VBE2 - - 119,000 - $97,647 0.31 -
Ford Motor Co|3.25|02/12/2032, 3.25%, 02/12/32 F 345370DA5 - - 111,000 - $95,969 0.30 -
Solventum Corp|5.6|03/23/2034, 5.60%, 03/23/34 SOLV 83444MAG6 - - 93,000 - $95,737 0.30 -
Sun Communities Operating LP|5.7|01/15/2033, 5.70%, 01/15/33 SUI 866677AJ6 - - 92,000 - $95,619 0.30 -
T-Mobile USA Inc|4.375|04/15/2040, 4.38%, 04/15/40 TMUS 87264AAX3 - - 104,000 - $94,686 0.30 -
Arthur J Gallagher & Co|6.5|02/15/2034, 6.50%, 02/15/34 AJG 04316JAF6 - - 84,000 - $94,056 0.30 -
Duke Energy Corp|6.45|09/01/2054, 6.45%, 09/01/54 DUK 26441CCG8 - - 90,000 - $93,060 0.30 -
Amentum Holdings Inc|6.93516|09/29/2031, 6.94%, 09/29/31 AMNTEC 02351XAB4 - - 88,000 - $87,391 0.28 -
VMware LLC|4.7|05/15/2030, 4.70%, 05/15/30 VMW 928563AF2 - - 84,000 - $83,288 0.26 -
Sun Communities Operating LP|5.5|01/15/2029, 5.50%, 01/15/29 SUI 866677AK3 - - 79,000 - $81,746 0.26 -
UnitedHealth Group Inc|4.95|01/15/2032, 4.95%, 01/15/32 UNH 91324PFH0 - - 78,000 - $80,139 0.25 -
Capital One Financial Corp|5.817|02/01/2034, 5.82%, 02/01/34 COF 14040HCY9 - - 76,000 - $79,599 0.25 -
Applovin Corp|5.375|12/01/2031, 5.38%, 12/01/31 APP 03831WAC2 - - 78,000 - $78,800 0.25 -
Applovin Corp|5.125|12/01/2029, 5.12%, 12/01/29 APP 03831WAB4 - - 78,000 - $78,498 0.25 -
Blackstone Private Credit Fund|7.3|11/27/2028, 7.30%, 11/27/28 BCRED 09261HBC0 - - 74,000 - $78,459 0.25 -
Intel Corp|3.2|08/12/2061, 3.20%, 08/12/61 INTC 458140BX7 - - 130,000 - $78,390 0.25 -
US BANCORP|5.678|01/23/2035, 5.68%, 01/23/35 USB 91159HJR2 - - 71,000 - $75,123 0.24 -
UnitedHealth Group Inc|4.75|05/15/2052, 4.75%, 05/15/52 UNH 91324PEK4 - - 79,000 - $72,671 0.23 -
US Bancorp|4.839|02/01/2034, 4.84%, 02/01/34 USB 91159HJL5 - - 72,000 - $71,699 0.23 -
Charter Communications Operating LLC / Charter Communications Operating Capital|5.5|04/01/2063, 5.50%, 04/01/63 CHTR 161175CL6 - - 78,000 - $66,255 0.21 -
FirstEnergy Transmission LLC|4.55|01/15/2030, 4.55%, 01/15/30 FE 33767BAE9 - - 64,000 - $63,823 0.20 -
Boeing Co|7.008|05/01/2064, 7.01%, 05/01/64 BA 097023DN2 - - 57,000 - $63,050 0.20 -
Wells Fargo & Co|5.557|07/25/2034, 5.56%, 07/25/34 WFC 95000U3F8 - - 60,000 - $62,747 0.20 -
Amentum Holdings Inc|7.25|08/01/2032, 7.25%, 08/01/32 AMNTEC 02352BAA3 - - 59,000 - $61,935 0.20 -
JPMorgan Chase & Co|5.35|06/01/2034, 5.35%, 06/01/34 JPM 46647PDR4 - - 60,000 - $61,378 0.19 -
Intel Corp|4.75|03/25/2050, 4.75%, 03/25/50 INTC 458140BM1 - - 72,000 - $61,220 0.19 -
GGAM Finance Ltd|5.875|03/15/2030, 5.88%, 03/15/30 GGAMFI 36170JAE6 - - 59,000 - $59,039 0.19 -
Morgan Stanley|5.25|04/21/2034, 5.25%, 04/21/34 MS 61747YFE0 - - 57,000 - $58,022 0.18 -
Truist Financial Corp|5.711|01/24/2035, 5.71%, 01/24/35 TFC 89788MAS1 - - 51,000 - $53,719 0.17 -
Applovin Corp|5.5|12/01/2034, 5.50%, 12/01/34 APP 03831WAD0 - - 53,000 - $53,630 0.17 -
Truist Financial Corp|5.435|01/24/2030, 5.43%, 01/24/30 TFC 89788MAR3 - - 47,000 - $48,740 0.15 -
HCA Inc|5.2|06/01/2028, 5.20%, 06/01/28 HCA 404119CP2 - - 48,000 - $48,600 0.15 -
Applovin Corp|5.95|12/01/2054, 5.95%, 12/01/54 APP 03831WAE8 - - 47,000 - $48,385 0.15 -
Morgan Stanley|5.123|02/01/2029, 5.12%, 02/01/29 MS 61747YFA8 - - 47,000 - $48,316 0.15 -
JPMORGAN CHASE & CO|5.04|01/23/2028, 5.04%, 01/23/28 JPM 46647PEA0 - - 44,000 - $45,071 0.14 -
Lorca Co-Borrower LLC|8.10367|04/17/2031, 8.10%, 04/17/31 MASSM BL4632792 - - 30,845 - $31,502 0.10 -
Capital One Financial Corp|5.7|02/01/2030, 5.70%, 02/01/30 COF 14040HDE2 - - 26,000 - $27,119 0.09 -
Buy Protection, 1.00%, 12/20/29 2I65BYEG6 2I65BYEG6 - 4,150,000 - $4,150,000 13.16 -
Buy Protection, 1.00%, 12/20/29 2I65BYEG6 2I65BYEG6 - -4,150,000 - $-4,150,000 -13.16 -
US 5YR NOTE (CBT) Mar25 MAR 25 FVH5 FUTURES_USD - 55.00 - $0 0.00 -
US 10yr Ultra Fut Mar25 MAR 25 UXYH5 FUTURES_USD - -118.00 - $0 0.00 -
US ULTRA BOND CBT Mar25 MAR 25 WNH5 FUTURES_USD - 8.00 - $0 0.00 -
US 2YR NOTE (CBT) Mar25 MAR 25 TUH5 FUTURES_USD - 41.00 - $0 0.00 -
US 10YR NOTE (CBT)Mar25 MAR 25 TYH5 FUTURES_USD - -23.00 - $0 0.00 -
US LONG BOND(CBT) Mar25 MAR 25 USH5 FUTURES_USD - 67.00 - $0 0.00 -
United States Dollar USD MD_142224 - - 385,864 - $385,864 1.22 -
SEGREGATED CASH SEGCASH - $0.00 261,511 - $261,511 0.83 -
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.