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Henderson Far East Income Limited – Q3 Commentary 2022

Mike Kerley and Sat Duhra, Portfolio Managers of Henderson Far East Income Trust, deliver an update on the Company, highlighting factors currently impacting Asian markets, the key drivers of performance, and recent portfolio activity.

Henderson European Focus Trust – Q3 Commentary 2022

Tom O’Hara and John Bennett, Portfolio Managers of Henderson European Focus Trust, provide an update on the Company, highlighting factors currently impacting European markets, the key drivers of performance, and recent portfolio activity.

Cautious Managed: Q3 2022 review

Portfolio Managers Stephen Payne and James Briggs review what proved to be a highly volatile third quarter for both equity and fixed income investors in the UK.

Henderson Diversified Income Trust – Q3 Commentary 2022

John Pattullo, Jenna Barnard and Nicholas Ware, Portfolio Managers of Henderson Diversified Income Trust, provide an update on the Company, highlighting factors currently impacting fixed income markets, the key drivers of performance, and recent portfolio activity.

The Bankers Investment Trust – Q3 Commentary 2022

Alex Crooke | Janus Henderson Investors

Alex Crooke, Portfolio Manager of The Bankers Investment Trust, delivers an update on the Company, highlighting factors currently impacting global markets, the key drivers of performance, and recent portfolio activity.

Credit Risk Monitor: Fundamentals in focus

Why has US money growth slowed?

Global Head of Fixed Income Jim Cielinski explains how the credit cycle will shift to a weakening in fundamentals, but opportunities could emerge from dispersion and dovish pivot potential remains.

Are bonds making a comeback?

Nicholas Ware, Co-Portfolio Manager of Henderson Diversified Income Trust, talks about the Company’s performance year-to-date, areas where he is finding opportunities and how he is navigating interest rate and inflation risk in a volatile market environment.