Please ensure Javascript is enabled for purposes of website accessibility Asset-Backed Securities - Janus Henderson Investors
For institutional investors in Finland

Asset-Backed Securities

A high quality, conservatively managed fixed income solution aiming to provide downside resilience over cycles

Overview

ABOUT THIS STRATEGY

Each asset-backed securities (ABS) is distinct. In order to determine how an individual ABS will behave in different market environments, we must build a detailed understanding of the underlying collateral and structural mechanics of the security.

The necessity to build a transparent picture of risk and return for each ABS creates a high barrier for portfolio inclusion which aligns with our conservative framework.

Our team-based approach deconstructs ABS transactions to create a straight-forward understanding of its performance drivers. By doing this well, we can simplify a complex asset class with the aim to deliver strong risk-adjusted returns.

The value of an investment and the income from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested. Past performance does not predict future returns.

Glossary

Investment approach

Comprehensive, fundamental risk assessment
Strong bottom-up fundamental analysis aiming to identify opportunities offering secure income and downside resilience over cycles. Our analysis employs our 4Cs approach (collateral, counterparties, control and cash flow) in combination with market technical insights and bespoke ESG views specific to each securitisation. We apply the latest technology to continuously enhance our idea generation and research processes.

Proprietary ESG analysis for securitised assets
Our thematic ESG deep dives inform both top-down and bottom-up positioning. Through our use of data and technology, we can support active engagement with issuers. This enables us to provide transparent reporting for clients.

Integrated global fixed income platform
Our global fixed income platform enhances all aspects of our investment process; offering deep insights to support our assessment of collateral performance trends and counterparty risk for each security. The portfolio management team have the ability to draw upon global securitisation expertise and ideas across all major geographies and asset classes.

Established team
Broad experience in investing, originating, structuring and rating structured debt across multiple sectors and the entire rating spectrum. Portfolio managers have worked together for over 10 years while the team successfully merges qualitative and quantitative skill sets.

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Flexible.
Thoughtful.
Connected.

Portfolio Management

Colin Fleury

Head of Secured Credit | Portfolio Manager

Industry since 1986. Joined Firm in 2007.

Denis Struc

Portfolio Manager

Industry since 2005. Joined Firm in 2010.

Ian Bettney

Portfolio Manager

Industry since 2000. Joined Firm in 2005.

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