Company Announcements

[02.06.25]

TABULA ICAV


Fund:                                                    Share
Janus                                                    Redeemed                           Ex
Henderson  Valuation ISIN Code    Shares in     Currency since       NET Asset      NAV per Dividend
Tabula Lux Date                   Issue                  Previous    Value          Share   Date
AAA CLO                                                  Valuation
UCITS ETF

           30.05.25  LU2941599081 14,582,596.00 EUR      200000.0000 147,059,560.24 10.0846

Fund:                                                    Share
JANUS                                                    Redeemed                           Ex
HENDERSON  Valuation ISIN Code    Shares in     Currency since       NET Asset      NAV per Dividend
TABULA EUR Date                   Issue                  Previous    Value          Share   Date
AAA CLO                                                  Valuation
UCITS ETF

           30.05.25  LU2941599248 234,517.00    USD      0           2,369,311.77   10.1029

Fund:                                                    Share
JANUS                                                    Redeemed                           Ex
HENDERSON  Valuation ISIN Code    Shares in     Currency since       NET Asset      NAV per Dividend
TABULA EUR Date                   Issue                  Previous    Value          Share   Date
AAA CLO                                                  Valuation
UCITS ETF

           30.05.25  LU2941599834 853,386.00    GBP      0           8,618,359.61   10.0990

Fund:                                                    Share
Janus                                                    Redeemed                           Ex
Henderson  Valuation ISIN Code    Shares in     Currency since       NET Asset      NAV per Dividend
Tabula USD Date                   Issue                  Previous    Value          Share   Date
AAA CLO                                                  Valuation
UCITS ETF

           30.05.25  LU2994520851 9,512,009.00  USD      0           96,084,798.34  10.1014

Fund:JANUS                                               Share
HENDERSON  Valuation              Shares in              Redeemed    NET Asset      NAV per Ex
TABULA USD Date      ISIN Code    Issue         Currency since       Value          Share   Dividend
AAA CLO                                                  Previous                           Date
UCITS ETF                                                Valuation

           30.05.25  LU2994520935 527,100.00    USD      0           5,324,593.01   10.1017

Fund:JANUS                                               Share
HENDERSON  Valuation              Shares in              Redeemed    NET Asset      NAV per Ex
TABULA USD Date      ISIN Code    Issue         Currency since       Value          Share   Dividend
AAA CLO                                                  Previous                           Date
UCITS ETF                                                Valuation

           30.05.25  LU2994521073 10,000.00     USD      0           100,797.15     10.0797