Index quotation⁽⁴⁾
Index history
Monthly Returns
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Year | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | 0,5% | -0,7% | 0,3% | 1,2% | 0,4% | 0,4% | 0,3% | 0,1% | 2,7% | ||||||
| 2025 | 0,8% | 0,1% | -0,4% | -0,3% | 1,5% | 0,1% | 0,9% | 0,5% | 0,1% | 0,5% | 0,4% | 0,5% | 4,8% | ||
| 2024 | 0,9% | 0,6% | 1,0% | 0,7% | 0,9% | 0,4% | 0,7% | 0,3% | 0,6% | 1,2% | 0,7% | 0,7% | 9,0% | ||
Assets
| Assets | % of portfolio at rebalance | Chart |
|---|---|---|
| JAAA | 69,67% | |
| JBBB | 30,33% |
Risk/Return Metrics
| Year to date | Last 12 months | Last 24 months | Last 36 months | Since inception | |
|---|---|---|---|---|---|
| Return | 2,74% | 4,78% | 11,87% | 22,60% | 39,25% |
| Sharpe Ratio | -5,79 | -6,23 | -3,14 | -2,59 | -1,30 |
| Standard Deviation | 1,73% | 1,60% | 2,55% | 2,29% | 3,16% |
Other Metrics
| Turnover (LTM) | 55,5% |
|---|---|
| Number of assets | 2 |
Documents
(1) Fonte: Janus Henderson - data de referência de 28/11/2025.
(2) Correlação de 0,18 e 0,5 com o Bloomberg US Aggregate Bond Index e S&P500, respectivamente. Fonte: Janus Henderson e Bloomberg. Data de referência de 31/12/2024. Correlações dos retornos mensais entre janeiro de 2014 e dezembro de 2024.
(3) O Índice JHI CLO é de propriedade exclusiva da Janus Henderson Indices LLC. Todos os nomes e logotipos da Janus Henderson são marcas de serviço do Janus Henderson Group plc e foram licenciados para uso pela Teva Indices.
(4) Cotação do índice em USD.
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Info
- TickerCLOB11
- Asset classInternational Credit
- SegmentPrivate Credit
- Inception03/10/2022
- IsinBRCLOBCTF000
Metrics
- Index closing value (points)139,25
- Daily index change (points)-0,01
- Daily index change (%)-0,01%
- Year-to-date return (%)2,74%
- 12-month return (%)4,78%
- All-time high139,26
- All-time low100,00
- TickerCLOB11
- Share closing price (R$)R$ 95,15
- Daily price change (R$)R$ 0,96
- Daily price change (%)1,02%
- Average daily trading (30d)R$ 1.305,79
- Fund CNPJ63.082.782/0001-75
- Fund website
- Management fee0,50%