Join Jay Sivapalan, Head of Australian Fixed Interest and Shan Kwee, Portfolio Manager – Credit as they introduce the Fund and detail how they build a portfolio of credit securities which aim to make positive contributions to people and the planet.
Insights
Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
Join Steve Weeple, Client Portfolio Manager for the Janus Henderson Global Sustainable Equity Fund, as he provides an update on the strategy and details why despite the prevailing equity market uncertainty, the long-term case for a sustainable investment approach remains firmly intact.
Join Alistair Sayer, Client Portfolio Manager for the Janus Henderson Global Multi-Strategy Fund, as he discusses the risks and opportunities emerging from the current market volatility.
2022 was a year to forget for fixed interest investors, but 2023 is shaping up very differently.
Tune into this session as Daniel Sullivan, Head of Global Natural Resources, provides an update on the Janus Henderson Global Natural Resources Fund and shares his outlook for the resources sector.
Five key bond valuation metrics for financial professionals and portfolio managers.
What happens beyond peak inflation and can central banks navigate a soft landing with their inflation ‘blinkers’ on?
Global corporate net debt fell by 0.2% on a constant-currency basis in 2021 to 2022 to $8.15 trillion.
As central banks seek to put the brakes on higher inflation, how is this affecting credit markets?
By means of 10 charts we explore why we believe active management can be desirable when investing in fixed income.
Are we setting up for one of the shortest business cycles in history?