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Global Adaptive Capital Allocation Managed Account

A global allocation portfolio informed by views on extreme market movements

Overview

About This Portfolio

The Strategy is designed to actively adapt based on forward-looking views on extreme market movements, both positive and negative, with the goal of minimizing the risk of significant loss in a major downturn while participating in the growth potential of capital markets. The Portfolio consists of 30% equities and 70% fixed income based on a market-neutral allocation.

Why Invest

Core Solution
With diversification across global assets and a philosophy concentrated on avoiding large drawdowns while participating in upward moving markets, the Portfolio may present an attractive option for an investor’s core portfolio.

Looking Past the Average
Market environments are constantly changing, and no two time periods will ever deliver the same experience. We embrace this concept and as such, do not use average risk/return measures in our process; rather, our major focus is on the dominant role played by tail risks in compounding returns. Such returns are enhanced most by mitigation of tail losses and participation of tail gains each period of time.

Adaptive Allocation
We monitor both extreme positive and negative movements known as expected tail gain (ETG) and expected tail loss (ETL). Portfolio construction is driven by the ratio of ETG to ETL while targeting a desired level of portfolio risk with the goal of maximizing terminal value to investors.

Portfolio Management

Ashwin Alankar, Ph.D.

Head of Global Asset Allocation | Portfolio Manager

Industry since 2001. Joined Firm in 2014.

Performance

RETURNS (%) (As of 30/09/2024)
Composite Gross Composite Net 30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index
 
3M YTD 1YR 3YR 5YR Since Inception
(08/01/2017)
Composite Gross 4.32 8.13 14.54 3.65 4.80 4.60
Composite Net 3.56 5.77 11.23 0.63 1.75 1.56
30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index 6.26 8.23 16.68 1.63 4.00 3.61
RETURNS (%) (As of 30/09/2024)
Composite Gross Composite Net 30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index
 
3M YTD 1YR 3YR 5YR Since Inception
(08/01/2017)
Composite Gross 4.32 8.13 14.54 3.65 4.80 4.60
Composite Net 3.56 5.77 11.23 0.63 1.75 1.56
30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index 6.26 8.23 16.68 1.63 4.00 3.61
Calendar Year Returns (%)
Composite Gross Composite Net 30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index
2023 2022 2021 2020 2019 2018
Composite Gross 9.16 -6.99 6.07 4.56 13.03 -3.71
Composite Net 6.00 -9.72 2.99 1.51 9.76 -6.53
30% MSCI ACWI / 70% Bloomberg Glb Agg 3-5 Yr Index 10.39 -13.18 2.77 10.35 10.59 -3.51

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