Company Announcements

 [21.05.25]

TABULA ICAV


Fund: Tabula                                                  Share
EUR IG Bond     Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF                                                           Valuation

                20.05.25  IE00BN4GXL63 13,286,600.00 EUR      0         128,902,778.86   9.7017

Fund: Tabula                                                  Share
EUR IG Bond     Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF                                                           Valuation

                20.05.25  IE00BN4GXM70 10,080.00     SEK      0         982,326.02       97.453

                                                              Share
Fund: Tabula Gl Valuation              Shares in              Redeemed                   NAV per  Ex
IG Cr CURVE     Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Stpnr UCITS ETF                                               Previous                            Date
                                                              Valuation

                20.05.25  IE00BMQ5Y557 368,600.00    EUR      0         40,740,507.16    110.5277

Fund: TAB                                                     Share
Enhanced US     Valuation              Shares in              Redeemed                   NAV per  Ex
Inflat UCITS    Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
ETF USD                                                       Previous                            Date
                                                              Valuation

                20.05.25  IE00BMDWWS85 46,825.00     USD      0         5,491,354.75     117.274

Fund: TAB                                                     Share
Enhanced US     Valuation              Shares in              Redeemed                   NAV per  Ex
Inflat UCITS    Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
ETF USD                                                       Previous                            Date
                                                              Valuation

                20.05.25  IE00BN0T9H70 51,240.00     GBP      0         5,839,923.44     113.972

Fund: TAB                                                     Share
Enhanced US     Valuation              Shares in              Redeemed                   NAV per  Ex
Inflat UCITS    Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
ETF USD                                                       Previous                            Date
                                                              Valuation

                20.05.25  IE00BKX90X67 55,739.00     EUR      0         6,011,444.84     107.8499

Fund: TAB                                                     Share
Enhanced US     Valuation              Shares in              Redeemed                   NAV per  Ex
Inflat UCITS    Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
ETF USD                                                       Previous                            Date
                                                              Valuation

                20.05.25  IE00BKX90W50 14,997.00     CHF      0         1,459,780.72     97.3382

Fund: Tabula                                                  Share
GCC Sovereign   Valuation              Shares in              Redeemed                   NAV per  Ex
USD Bonds UCITS Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
ETF - USD                                                     Previous                            Date
                                                              Valuation

                20.05.25  IE000L1I4R94 68,953.00     USD      0         754,574.79       10.9433

Tabula GCC                                                    Share
Sovereign USD   Valuation              Shares in              Redeemed                   NAV per  Ex
Bonds UCITS ETF Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
- GBP HEDGED                                                  Previous                            Date
DISTRIBUTING                                                  Valuation

                20.05.25  IE000LJG9WK1 1,897,712.00  GBP      0         18,945,919.03    9.9836

Fund: Tabula
Global High                                                   Share
Yield Fallen                                                  Redeemed                            Ex
Angels          Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-aligned   Date                   Issue                  Previous                   Share    Date
Climate UCITS                                                 Valuation
ETF (USD) - USD
Acc

                20.05.25  IE000JL9SV51 370,471.00    USD      0         4,161,700.06     11.2335

Tabula Global
High Yield                                                    Share
Fallen Angels   Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF (USD) -                                                   Valuation
SEK-Hedged Acc

                20.05.25  IE000BQ3SE47 3,710,547.00  SEK      0         398,884,416.20   107.5002

Tabula Global
High Yield                                                    Share
Fallen Angels   Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF (USD) -                                                   Valuation
GBP-Hedged Dist

                20.05.25  IE000LSFKN16 636,306.00    SEK      0         6,420,325.60     10.09

Tabula Global
High Yield                                                    Share
Fallen Angels   Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF (USD) -                                                   Valuation
EUR-Hedged Dist

                20.05.25  IE000LH4DDC2 272,747.00    SEK      0         2,923,143.00     10.7174

Tabula EUR                                                    Share
Ultrashort IG                                                 Redeemed                            Ex
Bond            Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Paris-Aligned   Date                   Issue                  Previous                   Share    Date
Climate UCITS                                                 Valuation
ETF

                20.05.25  IE000WXLHR76 945,673.00    SEK      0         10,035,428.09    10.6119

Tabula EUR
Ultrashort IG                                                 Share
Bond            Valuation              Shares in              Redeemed                   NAV per  Ex
Paris-Aligned   Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Climate UCITS                                                 Previous                            Date
ETF-GBP HEDGED                                                Valuation
ACC

                20.05.25  IE000P7C7930 46,366.00     SEK      0         501,676.58       10.8199

Tabula FTSE                                                   Share
Indian                                                        Redeemed                            Ex
Government Bond Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
Short Duration  Date                   Issue                  Previous                   Share    Date
UCITS ETF-USD                                                 Valuation
ACC

                20.05.25  IE000061JZE2 901,028.00    SEK      0         9,778,891.32     10.853

JANUS HENDERSON                                               Share
TABULA JAPAN    Valuation              Shares in              Redeemed                   NAV per  Ex
HIGH CONVICTION Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
EQUITY UCITS                                                  Previous                            Date
ETF                                                           Valuation

                20.05.25  IE000CV0WWL4 18,900,000.00 JPY      0         1,928,233,898.30 102.023

JANUS HENDERSON                                               Share
TABULA PAN                                                    Redeemed                            Ex
EUROPEAN HIGH   Valuation ISIN Code    Shares in     Currency since     NET Asset Value  NAV per  Dividend
CONVICTION      Date                   Issue                  Previous                   Share    Date
EQUITY UCITS                                                  Valuation
ETF

                20.05.25  IE0002A3VE77 700,000.00    EUR      0         8,156,157.67     11.6517

Janus Henderson                                               Share
Tabula          Valuation              Shares in              Redeemed                   NAV per  Ex
Mortgage-Backed Date      ISIN Code    Issue         Currency since     NET Asset Value  Share    Dividend
Securities                                                    Previous                            Date
UCITS ETF                                                     Valuation

                20.05.25  IE000YMBL844 2,010,000.00  USD      0         19,841,748.65    9.8715