FIXED INCOME

Flexible. Thoughtful. Connected.

Our teams retain flexibility within a disciplined construct, resulting in individual strategies as well as custom-blended solutions – all within a rigorous risk management framework.

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$81.3bn
Fixed Income Assets Under Management

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113
Fixed Income Investment
Professionals

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18
Average Years’
Experience

As at September 30, 2024

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$81.3bn
Fixed Income Assets Under Management

113
Fixed Income Investment
Professionals

18
Average Years’
Experience

As at September 30, 2024

Investment capabilities benefiting from:

  • A forward-looking approach that looks beyond benchmarks to put investor objectives at its core.
  • Collaborative teams that share and debate ideas globally but retain investment flexibility within a rigorous risk-management framework.
  • A range of actively-managed solutions from core bonds to multi-sector that reflects four decades of addressing clients’ evolving financial needs.

Featured strategies

Core Plus

A flexible core plus fixed income portfolio that leverages a research-driven investment process in seeking to identify the best opportunities across fixed income sectors.

Multi-Sector Credit

Leverages active sector allocation to potentially deliver higher returns than traditional core plus portfolios without a substantial increase in volatility.


American Cancer Society Support Shares of Government Money Market Fund

Janus Henderson Government Money Market Fund – For investors seeking daily liquidity, capital preservation, and low-risk diversification of government instruments for their cash. Janus Henderson will donate an amount equal to half of its management fees for all assets under management from the Fund.1


Insights

Quick View – The Fed decision: Higher growth comes at a price

A Fed statement with hawkish undertones illustrates that sustained U.S. economic growth comes at the price of higher rates.

Global Perspectives: U.S. Investment Outlook 2025

Our experts from across asset classes discuss their views on the route ahead and how to position accordingly.

Adjusting the recipe: What’s the right mix for balanced portfolios in 2025?

In his 2025 outlook, Greg Wilensky outlines the most likely scenarios for the U.S. economy and the potential implications for major asset classes.

Institutional Insights
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