Managing general account assets requires more than just investment acumen, it demands a deep understanding of your long-term obligations, capital efficiency goals, and the regulatory landscape. We bring specialized insurance expertise to help you maintain liquidity, preserve portfolio stability, and enhance yield – all while aligning with your unique liability profile.
Dedicated Expertise
Dedicated Expertise
Offering insurers a broad range of investment capabilities and deep insight through access to our investment teams and portfolio construction and strategy services.
Tailored Solutions
Tailored Solutions
Designing custom portfolios built around your risk-return parameters, taking into account liability and capital requirements.
Genuine Partnership
Genuine Partnership
Investing the time to understand your objectives, liabilities, and assets, we work with you to define the right strategies and portfolios.
Trusted by insurers worldwide
We deliver tailored investment solutions worldwide, combining global scale with local expertise to help insurers meet evolving regulatory and portfolio needs.
$109bn
of global insurance-related assets
30+
years managing insurance client portfolios
Top 16
unaffiliated insurance asset manager*
*Source: Clearwater Analytics Investment Outsourcing Report (IIOR) 2025.
Insurance investment capabilities
Cash liquidity
A defensive portfolio of higher-quality borrowers in the European loans market with a focus on dependable income and default avoidance.
Providing investors with an opportunity to invest in a range of predominantly secured credit asset classes, not typically found in traditional fixed income portfolios.
Core solutions
Yield enhancement opportunities
Asset-backed private credit
Offering tailored solutions focused on enhancing potential income, strong risk-adjusted returns and defensive positioning, available through rated feeder funds or direct separately managed accounts through affiliated Victory Park Capital.
Providing investors with an opportunity to invest in a range of predominantly secured credit asset classes, not typically found in traditional fixed income portfolios.
Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.
A defensive portfolio of higher-quality borrowers in the European loans market with a focus on dependable income and default avoidance.
Providing investors with an opportunity to invest in a range of predominantly secured credit asset classes, not typically found in traditional fixed income portfolios.
In the news
Press release
Guardian and Janus Henderson close on multifaceted, strategic partnership
Discover the transformative partnership between Guardian and Janus Henderson, managing a $45 billion portfolio to innovate and enhance investment strategies. A strategic collaboration set to redefine wealth management and accelerate growth.
Learn morePress release
Janus Henderson’s pioneering AAA CLO ETF (JAAA) surpasses $20 billion in AUM
Janus Henderson's AAA CLO ETF (JAAA) hits a landmark $20 billion in assets, leading as the largest CLO ETF with the highest year-to-date net flows. Discover how JAAA is revolutionizing access to high-quality CLO investments.
Learn morePress release
Janus Henderson launches asset-backed securities ETF (JABS)
JABS builds on the success of Janus Henderson’s leading securitized ETF franchise and augments the firm’s robust product set of active fixed income ETFs.
Learn moreDifferentiated insights
Insights delivered to your inbox
Our latest thinking on the themes shaping today's investment landscape, delivered every two weeks.