Marc Pinto, CFA

Portfolio Manager
Marc Pinto, CFA | Janus Henderson Investors

Marc Pinto is a Portfolio Manager at Janus Henderson Investors responsible for the Opportunistic Growth strategy. He also co-manages the Balanced and Growth & Income strategies. Before joining Janus as a research analyst in 1994, Marc worked as an associate in the investment banking division at Goldman Sachs and as a research associate at Fred Alger Management.

Marc received his bachelor of arts degree in history from Yale University and his MBA from Harvard Business School, where he graduated with distinction. He holds the Chartered Financial Analyst designation and has 36 years of financial industry experience.

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Articles Written

Time to go domestic for US equities in 2019?

Time to go domestic for US equities in 2019?

Balanced portfolio manager Marc Pinto looks at the prospects for domestic US equities, following a turbulent 2018, and some of the themes that he believes could create value over time. He also considers some of the key issues facing fixed income markets.​

Equities vs bonds – harnessing the competition for capital

Equities vs bonds – harnessing the competition for capital

In this article, portfolio manager Marc Pinto discusses the appeal of an actively managed US multi-asset strategy in a late-cycle environment characterised by geopolitical uncertainty. He also looks at how a collaborative approach between equity and fixed income teams can open the door to investment opportunities that might otherwise be missed.

Is a dynamic multi-asset strategy the answer to higher volatility?

Is a dynamic multi-asset strategy the answer to higher volatility?

Volatility has returned to markets in 2018, with investors unsettled by US President Trump’s decision to take a combative stance on international trade, and with central banks globally signaling an end to the era of easy money. In this article, Marc Pinto, portfolio manager on the Janus Henderson Balanced Fund, discusses the important role a balanced multi-asset strategy can play in more uncertain market conditions.

US equities and bonds – Investing in a shifting landscape

US equities and bonds – Investing in a shifting landscape

Impressed by the resilience of the markets, portfolio manager Marc Pinto explains why he believes that investors should not be deterred by higher volatility, given the favourable backdrop for equities.

Meanwhile, Darrell Watters, Head of US Fundamental Fixed Income, expects a difficult environment for credit markets.

Essentials: a ‘balanced’ US equity and bond strategy

Essentials: a ‘balanced’ US equity and bond strategy

This video provides an introduction to the actively managed US equity and fixed income strategy run by equity specialists Maco Pinto and Jeremiah Buckley, and fixed income experts Darrell Watters and Mayul Saigal.