AMENDMENT TO JANUS DETROIT STREET TRUST INVESTMENT ADVISORY AND MANAGEMENT AGREEMENT
Exhibit (d)(12)
AMENDMENT TO
INVESTMENT ADVISORY AND MANAGEMENT AGREEMENT
THIS AMENDMENT is made this 24th day of October 2024, between JANUS DETROIT STREET TRUST, a Delaware statutory trust (the “Trust”), and XXXXX XXXXXXXXX INVESTORS US LLC, a Delaware limited liability company (the "Adviser"), regarding the funds listed in Appendix A (each, a “Fund” and together, the “Funds”).
WITNESSETH:
WHEREAS, the Adviser and the Trust, on behalf of the Funds, are parties to an Investment Advisory and Management Agreement dated May 30, 2017 (the “Agreement”);
WHEREAS, the parties desire to amend the Agreement as set forth in greater detail below;
WHEREAS, pursuant to Section 11 of the Agreement, the Agreement may be amended by the parties only if such amendment is approved by the Board, including a majority of the directors who are not interested persons of the Adviser, Distributor, or of the Trust and is in writing and signed by the parties to the Agreement; and
WHEREAS, Appendices A and B are hereby replaced with the attached Appendices A and B.
NOW, THEREFORE, in consideration of the premises and of the mutual agreements set forth below, the parties agree to amend the Agreement as follows:
1. The parties acknowledge that the Agreement, as amended, remains in full force and effect as of the date of this Amendment, and that this Amendment, together with the Agreement, contains the entire understanding and the full and complete agreement of the parties and supersedes and replaces any prior understandings and agreements among the parties respecting the subject matter hereof.
2. This Amendment may be contemporaneously executed in two or more counterparts, each of which shall be deemed an original but all of which together shall constitute one and the same instrument.
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Exhibit (d)(12)
IN WITNESS WHEREOF, the parties have caused their duly authorized officers to execute this Amendment as of the date and year first above written.
XXXXX XXXXXXXXX INVESTORS US LLC | |||
By: | /s/ Xxxx Xxxxxxxx | ||
Xxxx Xxxxxxxx | |||
Chief Accounting Officer | |||
JANUS DETROIT STREET TRUST | |||
By: | /s/ Xxxxxx Xxxxxxxx | ||
Xxxxxx Xxxxxxxx | |||
Vice President, Chief Financial Officer, Treasurer and Principal Accounting Officer |
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Exhibit (d)(12)
Appendix A
Xxxxx Xxxxxxxxx AAA CLO ETF
Xxxxx Xxxxxxxxx B-BBB CLO ETF
Xxxxx Xxxxxxxxx Income ETF
Xxxxx Xxxxxxxxx Emerging Markets Debt Hard Currency ETF
Xxxxx Xxxxxxxxx Mortgage-Backed Securities ETF
Xxxxx Xxxxxxxxx Mid Cap Growth Alpha ETF
Xxxxx Xxxxxxxxx Securitized Income ETF
Xxxxx Xxxxxxxxx Short Duration Income ETF
Xxxxx Xxxxxxxxx Small Cap Growth Alpha ETF
Xxxxx Xxxxxxxxx Small/Mid Cap Growth Alpha ETF
Xxxxx Xxxxxxxxx Corporate Bond ETF
Xxxxx Xxxxxxxxx U.S. Real Estate ETF
Xxxxx Xxxxxxxxx U.S. Sustainable Equity ETF
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Exhibit (d)(12)
Appendix B
Management Fee Rates
The Funds listed below will each be subject to the following Fee Schedule, effective May 1, 2020:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$500 million | 0.30% |
Next $500 million | 0.25% |
Over $1 billion | 0.20% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Small Cap Growth Alpha ETF | JSML |
Xxxxx Xxxxxxxxx Small/Mid Cap Growth Alpha ETF | JSMD |
Xxxxx Xxxxxxxxx Short Duration Income ETF | VNLA |
Xxxxx Xxxxxxxxx Mortgage-Backed Securities ETF | JMBS |
The Fund listed below will be subject to the following Fee Schedule, effective October 14, 2020:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$1 billion | 0.25% |
Over $1 billion | 0.20% |
Fund | Ticker |
Xxxxx Xxxxxxxxx AAA CLO ETF | JAAA |
The Fund listed below will be subject to the following Fee Schedule, effective April 22, 2021:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$250 million | 0.65% |
Next $750 million | 0.60% |
Over $1 billion | 0.50% |
Fund | Ticker |
Xxxxx Xxxxxxxxx U.S. Real Estate ETF | JRE |
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Exhibit (d)(12)
The Fund listed below will be subject to the following Fee Schedule, effective July 22, 2021:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$250 million | 0.55% |
Over $250 million | 0.50% |
Fund | Ticker |
Xxxxx Xxxxxxxxx U.S. Sustainable Equity ETF | SSPX |
The Fund listed below will be subject to the following Fee Schedule, effective July 22, 2021:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$500 million | 0.35% |
Over $500 million | 0.30% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Corporate Xxxx ETF | JLQD |
The Fund listed below will be subject to the following Fee Schedule, effective November 18, 2021:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$500 million | 0.49% |
Over $500 million | 0.45% |
Fund | Ticker |
Xxxxx Xxxxxxxxx B-BBB CLO ETF | JBBB |
The Fund listed below will be subject to the following Fee Schedule, effective November 6, 2023:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$1 billion | 0.49% |
Next $2 billion | 0.46% |
Over $3 billion | 0.43% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Securitized Income ETF | JSI |
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Exhibit (d)(12)
The Fund listed below will be subject to the following Fee Schedule, effective July 11, 2024:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$500 million | 0.52% |
Over $500 million | 0.48% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Emerging Markets Debt Hard Currency ETF | JEMB |
The Fund listed below will be subject to the following Fee Schedule, effective July 11, 2024:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$500 million | 0.30% |
Next $500 million | 0.25% |
Over $1 billion | 0.20% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Mid Cap Growth Alpha ETF | JMID |
The Fund listed below will be subject to the following Fee Schedule, effective October 24, 2024:
Assets Under Management | Daily Net Assets (annual rate) |
$0-$1 billion | 0.52% |
Next $2 billion | 0.50% |
Over $3 billion | 0.48% |
Fund | Ticker |
Xxxxx Xxxxxxxxx Income ETF | JIII |
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