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Michael Keough

Portfolio Manager
Michael Keough Portfolio Manager Janus Henderson Investors

Michael Keough is a Portfolio Manager on the Corporate Credit and US Fixed Income Teams at Janus Henderson Investors. He joined Janus as a research analyst in 2007. Prior to his investment management career, he served as a captain in the United States Air Force working as a defense acquisition officer.

Michael received his bachelor of science degree in business management from the United States Air Force Academy, where he was recognized as a Distinguished Graduate in the management department. He has 18 years of financial industry experience.

Articles Written

Balanced – strategy update

Balanced – strategy update

Please view Jeremiah Buckley, Portfolio Manager, and Michael Keough, Portfolio Manager provide a quarterly update on the Balanced strategy, as well as sharing the latest market perspectives and outlook. This webcast was broadcast on Thursday 14 November.

How are companies navigating higher debt levels: latest study
Analysis & Studies

How are companies navigating higher debt levels: latest study

The Corporate Debt Index is a long-term study into trends in company indebtedness around the world, the investment opportunities this provides and the risks it presents.

Balanced Strategy update

Balanced Strategy update

Please join Portfolio Managers, Jeremiah Buckley and Michael Keough, on Thursday 21 March, as they deliver a quarterly update on the Balanced strategy, as well as sharing their latest market perspectives and outlook.

Janus Henderson Corporate Debt Index
Analysis & Studies

Janus Henderson Corporate Debt Index

The Corporate Debt Index is a long-term study into trends in company indebtedness around the world, the investment opportunities this provides and the risks it presents.

Janus Henderson Balanced Strategy Update Webcast replay

Join our Balanced strategy portfolio managers as they discussed the strategies current positioning, short-term headwinds, outlook and how the strategy’s long history of navigating economic downturns has proven to capture less downside than the broader equity market. Today’s unsettled economic environment, with heightened uncertainty in both the equity and bond markets, is leaving investors feeling

Manoeuvring multiple economic cycles and market unknowns – bringing together Portfolio Construction and the JH Balanced Strategy

Manoeuvring multiple economic cycles and market unknowns – bringing together Portfolio Construction and the JH Balanced Strategy

Investors are increasingly trying to make sense of outsized economic data on inflation and its implications for an ongoing economic recovery from the pandemic. Where do interest rates go from here? How long will the current trends of high inflation and high growth continue? Join our Portfolio Construction Team and Balanced strategy portfolio managers as

Looking to sustainability for opportunity
Features & Outlooks

Looking to sustainability for opportunity

Why taking an active approach to sustainable investment could help balance opportunities against the risks in corporate bonds.