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Is a dynamic multi-asset strategy the answer to higher volatility?

Una strategia multi-asset dinamica è la risposta all'aumento della volatilità?

Volatility has returned to markets in 2018, with investors unsettled by US President Trump’s decision to take a combative stance on international trade, and with central banks globally signaling an end to the era of easy money. In this article, Marc Pinto, portfolio manager on the Janus Henderson Balanced Fund, discusses the important role a balanced multi-asset strategy can play in more uncertain market conditions.

US equities and bonds – Investing in a shifting landscape

Marc Pinto, CFA | Janus Henderson Investors

Impressed by the resilience of the markets, portfolio manager Marc Pinto explains why he believes that investors should not be deterred by higher volatility, given the favourable backdrop for equities.

Meanwhile, Darrell Watters, Head of US Fundamental Fixed Income, expects a difficult environment for credit markets.