Janus Henderson Anemoy Treasury Fund
JTRSY Rank #142Price chart
What is Janus Henderson Anemoy Treasury Fund?
Fund structure
The product was originally called the Anemoy Liquid Treasury Fund. Janus Henderson became its sub-investment manager in 2024. It adopted the Janus Henderson Anemoy Treasury Fund name in February 2025. The fund is licensed by the British Virgin Islands Financial Services Commission. Access is limited to eligible non-US professional investors. Its structure uses a segregated fund vehicle with independent custody and administration. JTRSY tokens represent ownership shares in that vehicle.
Portfolio and onchain shares
The portfolio holds US Treasury bills with maturities of no more than six months. Portfolio management focuses on short duration and Treasury income. Investment and redemption flows use USDC. The fund offers daily redemptions under its applicable dealing rules. Centrifuge contracts handle tokenized share issuance and fund accounting. The share price reflects the fund's net asset value rather than a permanent one-dollar peg. Supply expands with subscriptions and contracts when shares are redeemed.
Where to trade JTRSY
Exchanges that list this asset
Live spot quotes from connected exchanges
JTRSY funding rates
Live perpetual funding on every connected exchange. Positive = longs pay shorts.
Contracts & chains
Exact contract or mint per network — the identity layer used for DEX routing.
On-chain routes
Networks with a connected DEX routing adapter.