[{"data":1,"prerenderedAt":300},["ShallowReactive",2],{"informer-product-IE0008C3G0Y9":3},{"isin":4,"wkn":5,"name":6,"description":7,"fundType":8,"invstgFundType":7,"legalStructure":8,"fundStructure":9,"isUcitsCompliant":10,"isActive":10,"isArchived":11,"releaseDate":12,"totalExpenseRatio":13,"sharesRatio":14,"isDistributing":10,"distributionInterval":15,"distributionType":16,"replicationMethod":17,"positionsCount":18,"sharesCount":14,"bondsCount":19,"cashAndOthersCount":20,"topTenPositionsPercentage":21,"currencyHedged":11,"hasSecurityLending":11,"fundVolume":22,"fundVolumeDate":23,"shareClassVolume":24,"shareClassVolumeDate":23,"taxReportingFriendlyDe":11,"taxReportingFriendlyAt":11,"taxReportingFriendlyCh":11,"partialExemption":14,"isSustainableInvestmentOverall":11,"isLeveraged":11,"isInverseReplication":11,"countryOfRegistrationGermany":11,"countryOfSalesGermany":11,"bondStatsAvgCoupon":25,"bondStatsAvgPrice":26,"bondStatsCurrentYield":27,"purchaseCharge":7,"redemptionFee":7,"fundManagement":7,"administrators":28,"assetClasses":30,"custodianBank":31,"revisionCompany":32,"investorType":33,"countryIso2":34,"currency":35,"issuer":38,"baseIndex":39,"homePriceSeries":41,"preferredPriceSeries":45,"stockExchanges":50,"countryDistributions":56,"regionDistributions":69,"currencyDistributions":77,"industryDistributions":86,"esgDistributions":87,"assetAllocations":140,"creditRatingDistributions":150,"maturityRangeDistributions":151,"bondSectorLevel2Distributions":173,"documents":179,"netPolicies":183,"brokerSavingsPlans":184,"dividends":185,"yearlyDividends":190,"latestNominalMarketReturn":196,"latestNominalTotalReturn":198,"latestRealMarketReturn":199,"latestRealTotalReturn":201,"latestRiskKpis":202,"latestPerformanceMarketPrice":207,"latestPerformanceTotalPrice":213,"reinvestedMarketPricesMinMax":214,"similarProducts":217},"IE0008C3G0Y9","A41R3G","Janus Henderson US Short Duration High Yield Active Core UCITS ETF",null,"ETF","open_ended_investment_company",true,false,"2026-05-06",0.49,0,"twice_a_year","distributing","not_applicable",147,145,2,8.73823,8861580.03,"2026-06-30",230942.58,6.46816,99.79409,6.341,[29],"HSBC Securities Services (Ireland) DAC",[],"HSBC Continental Europe","Mazars","retail","IE",{"isoCode":36,"sign":37},"GBP","£","Janus Henderson Investors",{"name":40,"bondType":7,"bondRating":7,"bondMaturity":7,"region":7,"resource":7,"resourceClass":7,"stockSector":7,"stockStrategy":7,"stockTopic":7,"sustainabilityStrategy":14,"crypto":7,"countryIso2":7,"indexProvider":7},"ICE BofA 0-5 Yr BB-B US HY Cnstrd TR LOC",{"id":42,"identifier":43,"currency":44},341377,"0P0002PGH8",{"isoCode":36,"sign":37},{"id":42,"identifier":43,"currency":46,"stockExchange":47},{"isoCode":36,"sign":37},{"name":48,"ticker":49},"London Stock Exchange","XLON",[51],{"ticker":52,"isPrimary":10,"currency":53,"stockExchange":54},"JSHG",{"isoCode":36,"sign":37},{"name":48,"ticker":49,"morningstarId":55},"EX$$$$XLON",[57,60,63,66],{"weighting":58,"iso2":59},0.73116,"AU",{"weighting":61,"iso2":62},6.2561,"CA",{"weighting":64,"iso2":65},0.68286,"CN",{"weighting":67,"iso2":68},87.69582,"US",[70,72,75],{"name":71,"weighting":58},"Australia",{"name":73,"weighting":74},"North America",93.95192,{"name":76,"weighting":64},"Asia",[78,80,82,84],{"weighting":58,"isoCode":79},"AUD",{"weighting":61,"isoCode":81},"CAD",{"weighting":64,"isoCode":83},"CNY",{"weighting":67,"isoCode":85},"USD",[],[88,95,102,108,115,121,126,133],{"weighting":89,"esgIndustry":90},3.5688672,{"name":91,"min":92,"max":93,"median":94},"animal_testing",6.6912737e-22,100.00004,9.160162,{"weighting":96,"esgIndustry":97},0.880405,{"name":98,"min":99,"max":100,"median":101},"abortive_contraceptives_stem_cell",1.0900416e-8,100,4.9790907,{"weighting":103,"esgIndustry":104},0.8837978,{"name":105,"min":106,"max":100,"median":107},"controversial_weapons",6.842017e-22,0.8685928,{"weighting":109,"esgIndustry":110},2.6640315,{"name":111,"min":112,"max":113,"median":114},"gambling",3.4036547e-9,57.402508,0.35397443,{"weighting":116,"esgIndustry":117},2.6394367,{"name":118,"min":119,"max":100,"median":120},"military_contracting",3.421763e-22,1.8504541,{"weighting":103,"esgIndustry":122},{"name":123,"min":124,"max":100,"median":125},"nuclear",4.699864e-9,1.475915,{"weighting":127,"esgIndustry":128},0.89356005,{"name":129,"min":130,"max":131,"median":132},"pesticides",3.8426198e-10,37.603992,0.20043892,{"weighting":134,"esgIndustry":135},0.8915421,{"name":136,"min":137,"max":138,"median":139},"tobacco",3.952315e-9,22.445309,0.2702322,[141,144,147],{"weighting":142,"assetType":143},1.80734,"stock",{"weighting":145,"assetType":146},95.36595,"bond",{"weighting":148,"assetType":149},2.82671,"cash",[],[152,155,158,161,164,167,170],{"weighting":153,"maturityRange":154},32.32568,"0_to_3_years",{"weighting":156,"maturityRange":157},58.53832,"3_to_5_years",{"weighting":159,"maturityRange":160},0.69835,"5_to_7_years",{"weighting":162,"maturityRange":163},0.68543,"7_to_10_years",{"weighting":165,"maturityRange":166},4.17035,"20_to_30_years",{"weighting":168,"maturityRange":169},0.6885,"over_30_years",{"weighting":171,"maturityRange":172},0.69032,"183_to_364_days",[174,177],{"weighting":175,"bondSectorLevel2":176},98.44402,"corporate_bond",{"weighting":148,"bondSectorLevel2":178},"cash_equivalents",[180],{"docType":181,"pdfUrl":182},"factsheet","hippoverse\u002Fdocuments\u002FIE0008C3G0Y9-factsheet.pdf",[],[],[186],{"excludingDate":187,"reinvestDate":187,"payDate":188,"amount":189,"dividendYield":7},"2026-06-25","2026-07-09",0.0794,[191],{"year":192,"dividendYield":193,"dividends":194},2026,0.00796676834162787,[195],{"excludingDate":187,"reinvestDate":187,"payDate":188,"amount":189,"dividendYield":7},{"return1Year":7,"return3Years":7,"return5Years":7,"return10Years":7,"returnSinceInception":197},1.2405,{"return1Year":7,"return3Years":7,"return5Years":7,"return10Years":7,"returnSinceInception":197},{"return1Year":7,"return3Years":7,"return5Years":7,"return10Years":7,"returnSinceInception":200},-1.2095000000000002,{"return1Year":7,"return3Years":7,"return5Years":7,"return10Years":7,"returnSinceInception":200},{"date":203,"volatilityOneYear":7,"drawdownOneYear":7,"sharpeRatioOneYear":7,"volatilityThreeYears":7,"drawdownThreeYears":7,"sharpeRatioThreeYears":7,"volatilityFiveYears":7,"drawdownFiveYears":7,"sharpeRatioFiveYears":7,"volatilityTenYears":7,"drawdownTenYears":7,"sharpeRatioTenYears":7,"volatilitySinceInception":204,"drawdownSinceInception":205,"sharpeRatioSinceInception":206},"2026-07-18",1.6898606290592564,-0.7600000000000051,0.7340842071044551,{"endDate":203,"performance1Day":14,"performance1DayStartDate":208,"performance1DayEndDate":203,"performance1Week":209,"performance1WeekStartDate":210,"performance1WeekEndDate":203,"performance1Month":211,"performance1MonthStartDate":212,"performance1MonthEndDate":203,"performance3Months":7,"performance3MonthsStartDate":7,"performance3MonthsEndDate":7,"performance6Months":7,"performance6MonthsStartDate":7,"performance6MonthsEndDate":7,"performance1Year":7,"performance1YearStartDate":7,"performance1YearEndDate":7,"performance3Years":7,"performance3YearsStartDate":7,"performance3YearsEndDate":7,"performance5Years":7,"performance5YearsStartDate":7,"performance5YearsEndDate":7,"performance10Years":7,"performance10YearsStartDate":7,"performance10YearsEndDate":7,"performanceSinceInception":197,"performanceSinceInceptionStartDate":12,"performanceSinceInceptionEndDate":203},"2026-07-17",0.5006144762260245,"2026-07-11",0.804018599464329,"2026-06-18",{"endDate":203,"performance1Day":14,"performance1DayStartDate":208,"performance1DayEndDate":203,"performance1Week":209,"performance1WeekStartDate":210,"performance1WeekEndDate":203,"performance1Month":211,"performance1MonthStartDate":212,"performance1MonthEndDate":203,"performance3Months":7,"performance3MonthsStartDate":7,"performance3MonthsEndDate":7,"performance6Months":7,"performance6MonthsStartDate":7,"performance6MonthsEndDate":7,"performance1Year":7,"performance1YearStartDate":7,"performance1YearEndDate":7,"performance3Years":7,"performance3YearsStartDate":7,"performance3YearsEndDate":7,"performance5Years":7,"performance5YearsStartDate":7,"performance5YearsEndDate":7,"performance10Years":7,"performance10YearsStartDate":7,"performance10YearsEndDate":7,"performanceSinceInception":197,"performanceSinceInceptionStartDate":12,"performanceSinceInceptionEndDate":203},{"firstDate":12,"firstValue":215,"lastDate":203,"lastValue":216},10,10.12405,[218,225,230,234,237,240,246,249,252,255,259,265,267,272,275,278,283,288,292,296],{"isin":219,"name":220,"releaseDate":221,"replicationMethod":222,"isDistributing":10,"fundVolume":223,"totalExpenseRatio":224},"IE00B4PY7Y77","iShares USD High Yield Corporate Bond UCITS ETF USD (Dist)","2011-09-13","physical_sample",5235884450.63,0.5,{"isin":226,"name":227,"releaseDate":228,"replicationMethod":222,"isDistributing":10,"fundVolume":223,"totalExpenseRatio":229},"IE00BDFJYL11","iShares $ High Yield Corp Bond UCITS ETF","2018-03-20",0.55,{"isin":231,"name":232,"releaseDate":233,"replicationMethod":222,"isDistributing":10,"fundVolume":223,"totalExpenseRatio":229},"IE00BF3N7102","iShares USD High Yield Corporate Bond UCITS ETF EUR Hedged (Dist)","2018-03-05",{"isin":235,"name":227,"releaseDate":236,"replicationMethod":222,"isDistributing":11,"fundVolume":223,"totalExpenseRatio":229},"IE00BK6M1392","2019-07-26",{"isin":238,"name":227,"releaseDate":239,"replicationMethod":222,"isDistributing":11,"fundVolume":223,"totalExpenseRatio":224},"IE00BYXYYL56","2017-04-13",{"isin":241,"name":242,"releaseDate":243,"replicationMethod":222,"isDistributing":10,"fundVolume":244,"totalExpenseRatio":245},"IE000EVUY6K9","iShares Broad $ High Yield Corp Bond UCITS ETF","2025-09-25",2524928863.02,0.22,{"isin":247,"name":242,"releaseDate":248,"replicationMethod":222,"isDistributing":10,"fundVolume":244,"totalExpenseRatio":245},"IE000IIOOR48","2022-08-03",{"isin":250,"name":242,"releaseDate":251,"replicationMethod":222,"isDistributing":11,"fundVolume":244,"totalExpenseRatio":245},"IE000VSFIC94","2023-03-30",{"isin":253,"name":242,"releaseDate":254,"replicationMethod":222,"isDistributing":11,"fundVolume":244,"totalExpenseRatio":245},"IE000ZH72RF4","2024-08-05",{"isin":256,"name":242,"releaseDate":257,"replicationMethod":222,"isDistributing":10,"fundVolume":244,"totalExpenseRatio":258},"IE00BG0J4957","2022-04-05",0.2,{"isin":260,"name":261,"releaseDate":262,"replicationMethod":222,"isDistributing":10,"fundVolume":263,"totalExpenseRatio":264},"IE0000BQ75C2","iShares $ Short Duration High Yield Corp Bond UCITS ETF","2025-07-25",2287790507.32,0.47,{"isin":266,"name":261,"releaseDate":262,"replicationMethod":222,"isDistributing":10,"fundVolume":263,"totalExpenseRatio":264},"IE0004MNX2U1",{"isin":268,"name":269,"releaseDate":270,"replicationMethod":222,"isDistributing":10,"fundVolume":263,"totalExpenseRatio":271},"IE00BCRY6003","iShares USD Short Duration High Yield Corporate Bond UCITS ETF","2013-10-15",0.45,{"isin":273,"name":261,"releaseDate":274,"replicationMethod":222,"isDistributing":11,"fundVolume":263,"totalExpenseRatio":224},"IE00BLF5J651","2020-08-19",{"isin":276,"name":261,"releaseDate":277,"replicationMethod":222,"isDistributing":11,"fundVolume":263,"totalExpenseRatio":271},"IE00BZ17CN18","2018-06-29",{"isin":279,"name":280,"releaseDate":281,"replicationMethod":222,"isDistributing":10,"fundVolume":282,"totalExpenseRatio":229},"IE00B7N3YW49","PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF Dist","2012-03-14",1823713835.23,{"isin":284,"name":285,"releaseDate":286,"replicationMethod":222,"isDistributing":11,"fundVolume":282,"totalExpenseRatio":287},"IE00BD26N851","PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF EUR Hedged Acc","2017-12-11",0.6,{"isin":289,"name":290,"releaseDate":291,"replicationMethod":222,"isDistributing":10,"fundVolume":282,"totalExpenseRatio":287},"IE00BF8HV600","PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF EUR Hedged Dist","2013-10-16",{"isin":293,"name":294,"releaseDate":295,"replicationMethod":222,"isDistributing":11,"fundVolume":282,"totalExpenseRatio":229},"IE00BVZ6SQ11","PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF Acc","2015-04-30",{"isin":297,"name":298,"releaseDate":299,"replicationMethod":222,"isDistributing":11,"fundVolume":282,"totalExpenseRatio":287},"IE00BWC52G65","PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF CHF Hedged Acc","2015-05-28",1784640341728]