Janus Henderson ICAV - Net Asset Value(s)

 [13.04.26]

TABULA ICAV


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



                                                           EUR      0           67,818,623.42    9.8374
                    10.04.26  IE00BN4GXL63 6,893,949.00

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



                                              78,280.00    SEK      0           7,720,240.89
                    10.04.26  IE00BN4GXM70                                                    98.6234

   Janus Henderson                                                  Share
HMT Global IG                                 Shares in          Redeemed       NET Asset        NAV        Ex
Credit Curve        Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Steepener Core      Date                                         Previous                               Date
UCITS ETF                                                        Valuation

                                                           EUR      0           52,932,459.18
                    10.04.26  IE00BMQ5Y557 468,600.00                                         112.9587

   Janus Henderson                                                  Share
US Short Duration                             Shares in          Redeemed       NET Asset        NAV        Ex
High Yield Active   Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Core UCITS ETF USD  Date                                         Previous                               Date
AC                                                               Valuation

                                                           EUR      0           10,003,514.35
                    10.04.26  IE0007W7MZL0 1,000,000.00                                       10.0035

                                                                    Share
   Janus Henderson                            Shares in          Redeemed       NET Asset        NAV        Ex
GCC Sovereign USD   Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Bond Core UCITS ETF Date                                         Previous                               Date
                                                                 Valuation

                                                           USD      0.00        3,573,554.89
                    10.04.26  IE000L1I4R94 309,782.00                                         11.5357

                                                                    Share
   Janus Henderson                            Shares in          Redeemed       NET Asset        NAV        Ex
GCC Sovereign USD   Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Bond Core UCITS ETF Date                                         Previous                               Date
                                                                 Valuation

                                                           GBP      0           4,547,213.82
                    10.04.26  IE000LJG9WK1 453,302.00                                         10.0313

   Janus Henderson                                                  Share
Global High Yield                                                Redeemed                                   Ex
Fallen Angels       Valuation    ISIN Code    Shares in          since          NET Asset        NAV    Dividend
Paris-aligned       Date                   Issue        Currency Previous    Value            per Share Date
Climate Core UCITS                                               Valuation
ETF

                                                           USD      0           1,617,516.16
                    10.04.26  IE000JL9SV51 132,971.00                                         12.1644

   Janus Henderson                                                  Share
Global High Yield                                                Redeemed                                   Ex
Fallen Angels       Valuation    ISIN Code    Shares in          since          NET Asset        NAV    Dividend
Paris-aligned       Date                   Issue        Currency Previous    Value            per Share Date
Climate Core UCITS                                               Valuation
ETF

                                                           SEK      0
                    10.04.26  IE000BQ3SE47 3,719,099.00                      421,749,341.45   113.4009

   Janus Henderson                                                  Share
Global High Yield                                                Redeemed                                   Ex
Fallen Angels       Valuation    ISIN Code    Shares in          since          NET Asset        NAV    Dividend
Paris-aligned       Date                   Issue        Currency Previous    Value            per Share Date
Climate Core UCITS                                               Valuation
ETF

                                                           GBP      0           6,823,019.34     10.24
                    10.04.26  IE000LSFKN16 666,306.00

   Janus Henderson                                                  Share
Global High Yield                                                Redeemed                                   Ex
Fallen Angels       Valuation    ISIN Code    Shares in          since          NET Asset        NAV    Dividend
Paris-aligned       Date                   Issue        Currency Previous    Value            per Share Date
Climate Core UCITS                                               Valuation
ETF

                                                           EUR      0           1,825,323.04
                    10.04.26  IE000LH4DDC2 161,317.00                                         11.3151

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

                                                           EUR      0           10,953,262.10
                    10.04.26  IE000WXLHR76 1,013,673.00                                       10.8055

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

                                              73,581.00    GBP      0           824,567.56
                    10.04.26  IE000P7C7930                                                    11.2063

   Janus Henderson                                                  Share
Japan High                                    Shares in          Redeemed       NET Asset        NAV        Ex
Conviction Equity   Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
UCITS ETF           Date                                         Previous                               Date
                                                                 Valuation

                                                           JPY      0
                    10.04.26  IE000CV0WWL4 7,500,000.00                      1,006,297,802.92 134.173

   Janus Henderson                                                  Share
Pan European High                             Shares in          Redeemed       NET Asset        NAV        Ex
Conviction Equity   Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
UCITS ETF           Date                                         Previous                               Date
                                                                 Valuation

                                                           EUR      0           40,839,827.48
                    10.04.26  IE0002A3VE77 3,190,128.00                                       12.8019

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

                                                           USD      0           39,377,214.56
                    10.04.26  IE000YMBL844 3,713,476.00                                       10.6039

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

                                              54,427.00    USD      0           565,477.60
                    10.04.26  IE000RH1ZG27                                                    10.3897

   Janus Henderson                                                  Share
EUR Short Duration                            Shares in          Redeemed       NET Asset        NAV        Ex
Income Active Core  Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
UCITS ETF           Date                                         Previous                               Date
                                                                 Valuation

                                                           EUR      0           37,771,378.89
                    10.04.26  IE000CCQKON9 3,707,319.00                                       10.1883

   Janus Henderson                                                  Share
EUR Short Duration                            Shares in          Redeemed       NET Asset        NAV        Ex
Income Active Core  Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
UCITS ETF           Date                                         Previous                               Date
                                                                 Valuation

                                              5,005.00     EUR      0           49,844.81        9.959
                    10.04.26  IE000I8CR2Q4

   Janus Henderson                                                  Share
US Transformational                           Shares in          Redeemed       NET Asset        NAV        Ex
Growth High         Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Conviction Equity   Date                                         Previous                               Date
UCITS ETF                                                        Valuation

                                                           USD      0           5,109,919.44
                    10.04.26  IE0009ZTL4B5 510,000.00                                         10.0194

   Janus Henderson                                                  Share
Global                                        Shares in          Redeemed       NET Asset        NAV        Ex
Research-Engineered Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Equity Active Core  Date                                         Previous                               Date
UCITS                                                            Valuation

                                                           USD      0           5,392,505.46
                    10.04.26  IE000Y3FZEN4 521,000.00                                         10.3503

   Janus Henderson                                                  Share
Mexico Government                             Shares in          Redeemed       NET Asset        NAV        Ex
Bond USD 10-30Y     Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Core UCITS ETF      Date                                         Previous                               Date
                                                                 Valuation

                                              51,850.00    USD                  523,450.34
                    10.04.26  IE000J8RGOJ4                       34,698.0000                  10.0955

   Janus Henderson                                                  Share
Mexico Government                             Shares in          Redeemed       NET Asset        NAV        Ex
Bond USD 10-30Y     Valuation    ISIN Code Issue        Currency since       Value            per Share Dividend
Core UCITS ETF      Date                                         Previous                               Date
                                                                 Valuation

                                                           MXN      0
                    10.04.26  IE000P9STSM0 1,944,643.00                      1,979,392,760.26 1017.8695