What we offer

We offer expertise across all major asset classes, with investment teams situated around the world

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Equities

We offer a wide range of equity strategies encompassing different geographic focuses and investment styles. The teams include those with a global perspective, those with a regional focus – Europe, US, Asia Pacific and Emerging Markets – and those invested in specialist sectors. A range of growth, value and absolute return styles are employed. These teams generally apply processes based on fundamental research and bottom-up stock picking.

Equities
AUD$383.5bn in assets under management*

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Fixed income

Our Fixed Income teams provide coverage across the asset class, applying a wide range of differentiated techniques. These teams include those adopting global unconstrained approaches through to those with more focused mandates. The capabilities of these teams can be accessed through individual strategies and are combined where appropriate to form multi-strategy offerings.

Fixed income
AUD$231.1bn in assets under management*

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Alternatives

The Janus Henderson Alternatives grouping includes teams with different areas of focus and approach. The Diversified Alternatives Team brings together a cross-asset class combination of alpha generation, risk management, and efficient beta replication strategies. These include multi-strategy, liquid alternatives, agriculture, and global commodities/managed futures.

Alternatives
AUD$27.9bn in assets under management*

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Multi-asset

Janus Henderson Multi-Asset includes teams in the US and UK. In the US, our teams manage US and global asset allocation strategies. In the UK, we have asset allocation specialists, traditional multi-manager investors, and those focused on alternative asset classes.

Multi-asset
AUD$87.5bn in assets under management*

Capitalizing on volatility in sustainable equities – a strategic approach to uncertainty

Portfolio Manager Aaron Scully explores three key macro themes: AI adoption, stimulus driving economic momentum, and rising risks in private credit.

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*As at 30 September 2025

Latest insights

Capitalizing on volatility in sustainable equities – a strategic approach to uncertainty

03 Dec 2025

Portfolio Manager Aaron Scully explores three key macro themes: AI adoption, stimulus driving economic momentum, and rising risks in private credit.

Read more
Train stop at night with slow shutter speed

Equities outlook: Positioning for a transformative era

02 Dec 2025

In their 2026 outlook, Lucas Klein and Marc Pinto discuss how AI and structural reforms, especially in Europe, present opportunities for selective investors.

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Fixed Income Outlook: Building resilience in 2026

02 Dec 2025

Alex Veroude explains why the credit cycle in fixed income still has further to run in 2026, but investors should build some resilience into their portfolios.

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