ABOUT THIS STRATEGY
The strategy seeks to provide total return in excess of the benchmark by investing primarily in emerging market corporate bonds and other fixed and floating rate securities, with a preference for USD-denominated issues.
WHY US
- Places greater emphasis on credit fundamentals than country views
- Portfolio management underpinned by rigorous and active risk management
- Optimises an active investment approach which reflects conviction and opportunity
- Managed in an ‘index aware’ manner rather than duplicating benchmark index
EVERYONE'S INVESTED
JANUS HENDERSON FIXED INCOME