For individual investors in Denmark

Greg Wilensky, CFA

Head of U.S. Fixed Income | Portfolio Manager

Greg Wilensky is Head of US Fixed Income and a portfolio manager at Janus Henderson Investors, a position he has held since 2020. Prior to joining the firm, Greg served as senior vice president, director of the US multi-sector fixed income team and held several director and portfolio manager positions that spanned short duration, inflation-protected fixed income, securitised assets, and multi-asset strategies at AllianceBernstein from 1996 to 2019. Prior to that, he was a treasury manager – corporate finance at AT&T Corp. from 1993 to 1996.

Greg received his bachelor of science degree in business administration from Washington University, graduating magna cum laude. He also earned an MBA with high honours from the University of Chicago. Greg holds the Chartered Financial Analyst designation and has 30 years of financial industry experience.

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Articles Written

Global Perspectives: Opportunities in equities, fixed income, and multi-asset investing
Features & Outlooks

Global Perspectives: Opportunities in equities, fixed income, and multi-asset investing

A discussion of current opportunities in equities and fixed income, and why we see a more attractive environment for multi-asset portfolios ahead.

Fitch U.S. credit rating downgrade: What does it mean for fixed income investors?
Timely & Topical

Fitch U.S. credit rating downgrade: What does it mean for fixed income investors?

The potential impact for fixed income investors of Fitch’s downgrade of the U.S. long-term credit rating.

Peeling back the onion: A concentric approach to investment decision making
Timely & Topical

Peeling back the onion: A concentric approach to investment decision making

A framework for interpreting economic news for investment decision making.

Bank failures in 2023: Fallen rogues or canaries in the coalmine?
Timely & Topical

Bank failures in 2023: Fallen rogues or canaries in the coalmine?

Considering the risks recent bank failures pose to markets and how investors might position their portfolios accordingly.

Global Perspectives: Silver lining for equities and bonds in a cloudy market
Features & Outlooks

Global Perspectives: Silver lining for equities and bonds in a cloudy market

A turbulent year for both stocks and bonds may hold some silver linings.

Beyond the noise: just another rollercoaster

Beyond the noise: just another rollercoaster

Sticking with sectors that now look entrenched in a post-pandemic world can help investors navigate the new storm of rising rates, inflation and geopolitical uncertainty.

Market and economy are giving Fed what it wants

Market and economy are giving Fed what it wants

Greg Wilensky and Jason England explain that even with an update to its interest rate projections that is perhaps overdue, the Fed can afford to be patient.