JHI brighter
future funds

For clients who want to invest for a purpose beyond risk and return, we have a suite of JHI Brighter Future Funds.

These funds consist of strategies that either focus on sustainability, through investing in various sustainability themes combined with ESG integration, or sustainability transition.

ESG-focused portfolios

Across the industry, there are many different approaches to managed ESG-focused portfolios.
We consider the following strategies:

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ESG leaders or strategies

Invest in companies that are addressing ESG issues today.

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ESG improvers and transitioners

Invest in companies that are actively enacting positive change in their own operations to address ESG issues.

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ESG solutions or enablers

Invest in companies that offer products and services that are essential to addressing ESG issues.

Insights

Our investment teams regularly debate and share their thoughts on climate investing, the water crisis, natural capital, and more. Check out some highlights below.

Investing in clean technology for tomorrow’s renewable economy

The pace of investment in clean energy is fast outpacing fossil fuels, and it is forecast that renewable energy will become the largest source of global electricity by 2025.

Doing good, feeling good: How investors can benefit from the resources sector’s key role in decarbonization

Annual demand for critical minerals to support decarbonisation initiatives is set to nearly quadruple by 2040, according to the International Energy Agency.

Uncharted waters: How investors can help tackle the water crisis

On current trends, the UN predicts a 40% global shortfall in water supply by 2030, driven by growing global demand and climate change.

General risk (investing): Janus Henderson Global Multi-Asset Aggressive Growth Managed Account (MA59); Janus Henderson Global Multi-Asset Capital Preservation Managed Account (MA58); Janus Henderson Global Technology and Innovation ADR Managed Account (MA60); Janus Henderson Concentrated All Cap Growth Managed Account (MA30); Janus Henderson Concentrated Growth Managed Account (MA3); Janus Henderson Flexible Bond Managed Account (MA57); Janus Henderson Global Adaptive Capital Allocation Managed Account (MA35); Janus Henderson Global Adaptive Capital Appreciation Managed Account (MA33); Janus Henderson Global Adaptive Capital Growth Managed Account (MA34); Janus Henderson Global Multi-Asset Conservative Managed Account (MA40); Janus Henderson Global Multi-Asset Growth Managed Account (MA42); Janus Henderson Global Multi-Asset Moderate Managed Account (MA41); Janus Henderson Responsible International Dividend ADR Managed Account (MA39); Janus Henderson Global Life Sciences Diversified ADR Managed Account (MA43); Janus Henderson Global Sustainable Equity (ADR) Managed Account (MA44); Janus Henderson Growth and Income Managed Account (MA38); Janus Henderson Mid Cap Growth Managed Account (MA8); Janus Henderson Mid Cap Value Managed Account (MA7); Janus Henderson Opportunistic Alpha Managed Account (MA5); Janus Henderson Overseas ADR Managed Account (MA56); Janus Henderson US Real Estate Managed Account (MA45); Janus Henderson US Small Cap Growth Managed Account (MA62); Janus Henderson US SMID Cap Growth Managed Account (MA61); Janus Henderson Multi-Sector Income Managed Account (MA64); Janus Henderson Small Cap Value Managed Account (MA65); Janus Henderson Emerging Markets Debt Hard Currency ETF (JEMB10);

Risk (Objective): Janus Henderson Mid Cap Growth Managed Account (JNS900); Janus Henderson Concentrated Growth Managed Account (MA3); Janus Henderson Concentrated All Cap Growth Managed Account (MA30); Janus Henderson Global Adaptive Capital Appreciation Managed Account (MA33); Janus Henderson Global Adaptive Capital Growth Managed Account (MA34); Janus Henderson Global Adaptive Capital Allocation Managed Account (MA35); Janus Henderson Global Life Sciences Diversified ADR Managed Account (MA43); Janus Henderson Growth and Income Managed Account (MA38); Janus Henderson Opportunistic Alpha Managed Account (MA5); Janus Henderson Mid Cap Value Managed Account (MA7); Janus Henderson Mid Cap Growth Managed Account (MA8); Janus Henderson Concentrated All Cap Growth Managed Account (SMAACG); Janus Henderson Concentrated Growth Managed Account (SMACG); Janus Henderson Global Multi-Asset Conservative Managed Account (SMAGAC); Janus Henderson Global Adaptive Capital Appreciation Managed Account (SMAGACA); Janus Henderson Global Adaptive Capital Allocation Managed Account (SMAGACAL); Janus Henderson Global Adaptive Capital Growth Managed Account (SMAGACG); Janus Henderson Global Multi-Asset Growth Managed Account (SMAGAG); Janus Henderson Global Multi-Asset Moderate Managed Account (SMAGAM); Janus Henderson Responsible International Dividend ADR Managed Account (SMAGDG); Janus Henderson Growth and Income Managed Account (SMAGI); Janus Henderson Global Sustainable Equity (ADR) Managed Account (SMAGSE); Janus Henderson Mid Cap Value Managed Account (SMAMCV); Janus Henderson Opportunistic Alpha Managed Account (SMAOPP); Janus Henderson Global Sustainable Equity (ADR) Managed Account (MA44); Janus Henderson International Sustainable Equity ETF (SXUS10); Janus Henderson Corporate Bond ETF (JSCB10); Janus Henderson U.S. Sustainable Equity ETF (JUSE10); Janus Henderson Responsible International Dividend ADR Managed Account (MA39); Janus Henderson US Real Estate Managed Account (MA45); Janus Henderson Flexible Bond Managed Account (MA57); Janus Henderson Global Multi-Asset Aggressive Growth Managed Account (MA59); Janus Henderson Global Multi-Asset Capital Preservation Managed Account (MA58); Janus Henderson Global Technology and Innovation ADR Managed Account (MA60); Janus Henderson Securitized Income ETF (JHSI10); Janus Henderson US Small Cap Growth Managed Account (MA62); Janus Henderson US SMID Cap Growth Managed Account (MA61); Janus Henderson Multi-Sector Income Managed Account (MA64); Janus Henderson Small Cap Value Managed Account (MA65); Janus Henderson Emerging Markets Debt Hard Currency ETF (JEMB10);

Risk (ESG Integration): ESG integration is the practice of incorporating material environmental, social and governance (ESG) information or insights in a non-binding manner alongside traditional measures into the investment decision process to improve long term financial outcomes of portfolios. This product does not pursue a sustainable investment strategy or have a sustainable investment objective or otherwise take ESG factors into account in a binding manner. ESG related research is one of many factors considered within the investment process and in this material we seek to show why it is financially relevant.