ALTERNATIVES

Independent. Unique. Diversified.

Our teams create diversity while reducing volatility – all within cross-asset class combinations of alpha generation, risk management and efficient beta replication strategies.

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$10.4bn
Alternatives Assets Under Management

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24
Alternatives Investment
Professionals

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18
Average Years’ Financial
Industry Experience

As at September 30, 2024

<span class="notranslate">no data</span>

$10.4bn
Alternatives Assets Under Management

24
Alternatives Investment
Professionals

18
Average Years’
Experience

As at September 30, 2024

$10.4bn
Alternatives Assets Under Management

24
Alternatives Investment
Professionals

18
Average Years’
Experience

As at September 30, 2024

Investment capabilities benefitting from:

  • Specialised skills that seek to capture alpha from a broad range of opportunities
  • A globally positioned, highly experienced investment team that believes in challenging conventional thinking
  • A multi-dimensional approach and focus on risk management that helps us to deliver blended offerings
David Elms quote headshot Institutional Capabilities
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The Janus Henderson Diversified Alternatives Team brings together a range of investment approaches and benefits from diversity of thought. The team believes in challenging conventional thinking and applying a different lens to cross-asset class investing. 

David Elms
Head of Diversified Alternatives | Portfolio Manager

Featured Strategies

Multi Strategy

This market-neutral, alternative strategy invests across a diversified set of bottom-up strategies combined with a top-down "protection" strategy.


The portfolio protection investment strategy of the Multi Strategy portfolio does not guarantee protection.

Dynamic Trend

This systematic, time-series momentum strategy seeks to capture trends in global markets.



Multi Strategy

This market-neutral, alternative strategy invests across a diversified set of bottom-up strategies combined with a top-down "protection" strategy.


The portfolio protection investment strategy of the Multi Strategy portfolio does not guarantee protection.

Dynamic Trend

This systematic, time-series momentum strategy seeks to capture trends in global markets.



Multi Strategy

This market-neutral, alternative strategy invests across a diversified set of bottom-up strategies combined with a top-down "protection" strategy.

The portfolio protection investment strategy of the Multi Strategy portfolio does not guarantee protection.

Insights

Favorable winds: 2025 presents opportunities for asset allocators

Ashwin Alankar explains how forward-looking signals hint at investors being able to source attractive risk premiums across capital markets in 2025 as recession risk in many regions appears muted.

Greater market rationality favours absolute return strategies in 2025

Portfolio Manager Luke Newman highlights the strategic opportunities and potential risks for absolute return strategies in 2025.

Global themes are where European equities can find their magic

Portfolio Manager Tom O’Hara discusses favourable geopolitical dynamics and a potential cyclical recovery for European equities in 2025.

Alternatives

Insight from our alternatives team to help clients navigate the markets and opportunities ahead.

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Alternatives

Insight from our alternatives team to help clients navigate the markets and opportunities ahead.

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Institutional Insights
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