Fixed Income

Global active platform: Architects of Fixed Income solutions

Why Janus Henderson?


Janus Henderson’s global active fixed income platform delivers innovative strategies designed to help clients achieve consistent income and risk-adjusted returns.

Our experienced investment professionals combine rigorous research, advanced analytics, and decades of market expertise to build diversified fixed income solutions that seek to outperform benchmarks.

Guided by perspective. Driven by innovation.


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Research-driven perspective

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Research-driven perspective

Rigorous fundamental analysis, deep experience, and advanced quantitative tools provide perspective needed in seeking to generate high-conviction ideas and identify relative value.

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Client-focused innovation

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Client-focused innovation

From pioneering securitized strategies to advancing active fixed income ETFs, innovation is core to our approach.

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Foundation of expertise

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Foundation of expertise

A platform built on the foundation of more than 40 years of delivering fixed income strategies for our clients.

Our Fixed Income platform


A trusted partner

More than 450 institutional clients across 20 countries invest with us, benefitting from our shared insights and dialogue.

$155.8bn

Fixed Income AUM

138

Fixed Income investment professionals

19

Average years' experience

As of December 31, 2025

Driven by a fundamentally based investment process, the strategy seeks to temper the downside risks associated with the high-yield asset class over a full market cycle.

A dynamic global fixed income strategy seeking strong risk-adjusted returns and capital preservation

Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.

A global fixed income strategy that targets moderate return and capital preservation

Core fund that benefits from a bottom-up, fundamentally driven investment process designed to generate risk adjusted returns and preserve capital

Providing exposure to high-quality, floating rate collateralized loan obligations (CLOs), which are designed to offer diversification benefits and low volatility with low downgrade risk.

Differentiated insights


Unravelling the forces driving corporate credit’s resilience

Corporate credit has stayed firm amid the volatility related to the Middle East conflict. We explore why volatility has stayed contained and what this means for investors.

Quick View: Is the Fed’s stance in March less balanced than meets the eye?

While the Fed continues to face risks to both sides of its dual mandate, recent comments reveal growing concerns about inflation.

Collateralized Loan Obligations: A U.S. securitized products primer

What are collateralized loan obligations, and how might they play a role in investors’ portfolios?

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*The management fee revenues ACS receives from Janus Henderson will be net of any waivers.