For financial professionals in the UK

John Pattullo

Co-Head of Global Bonds | Portfolio Manager
John Pattullo | Janus Henderson Investors

John Pattullo is Co-Head of Global Bonds at Janus Henderson Investors. He manages and co-manages a range of global bond strategies and funds meeting different client needs globally. John joined Henderson in 1997 as a trainee manager in corporate bonds and was head of the Strategic Fixed Income Team from 2009 until 2015 when he became Co-Head with Jenna Barnard. Prior to Henderson, he spent four years as a chartered accountant at PricewaterhouseCoopers.

John has an MA (Hons) in economics from the University of St Andrews. He is a member of the Institute of Chartered Accountants of Scotland (CA) and an associate member of the Society of Investment Professionals (ASIP). He has 29 years of financial industry experience.

Articles Written

Henderson Diversified Income Trust – Q3 Commentary 2022
Investment Insights

Henderson Diversified Income Trust – Q3 Commentary 2022

John Pattullo, Jenna Barnard and Nicholas Ware, Portfolio Managers of Henderson Diversified Income Trust, provide an update on the Company, highlighting factors currently impacting fixed income markets, the key drivers of performance, and recent portfolio activity.

Are bonds making a comeback?
Investment Insights

Are bonds making a comeback?

Nicholas Ware, Co-Portfolio Manager of Henderson Diversified Income Trust, talks about the Company’s performance year-to-date, areas where he is finding opportunities and how he is navigating interest rate and inflation risk in a volatile market environment.

Henderson Diversified Income Trust
Investment Insights

Henderson Diversified Income Trust

Portfolio Managers of Henderson Diversified Income Trust, Jenna Barnard and Nicholas Ware deliver the 2022 Annual General Meeting presentation to shareholders. They cover the Company’s performance over the last financial year, areas where they are finding opportunities, and highlight how they are navigating interest rate and inflation risk in a volatile market environment.

ESG hard-coded in Henderson Diversified Income’s DNA
Investment Insights

ESG hard-coded in Henderson Diversified Income’s DNA

While Environmental, Social and Governance (ESG) assessments of companies have only become a mainstay within investment processes in recent years, analyses of these risks have long been embedded in Henderson Diversified Income’s ‘sensible income’ approach. Here, we find out how the company has ESG analysis at the core of its investment process.

Strategic Fixed Income: unfortunately, a recession is baked in the cake
Features & Outlooks

Strategic Fixed Income: unfortunately, a recession is baked in the cake

All the hallmarks for a recession are baked in the cake but have not washed through the economy yet. (Recorded 25 August 2022)

Henderson Diversified Income Trust Fund Manager Commentary – Q2 2022
Investment Insights

Henderson Diversified Income Trust Fund Manager Commentary – Q2 2022

John Pattullo, Jenna Barnard and Nicholas Ware, Portfolio Managers of Henderson Diversified Income Trust, provide an update on the Trust highlighting the key drivers of performance over the quarter, the challenges fixed income investors are facing, recent portfolio activity, and provide their outlook for bond markets over the coming months.

Boom-bust economics is back! Be warned…

Boom-bust economics is back! Be warned…

John Pattullo explains why he believes a recession seems unavoidable and that we are back to the boom-bust economics of the ‘80s.

What is the bond market telling us?
Investment Insights

What is the bond market telling us?

Nicholas Ware, Co-Portfolio Manager of Henderson Diversified Income Trust, talks about the challenges being faced by fixed income investors, what the bond market is telling us about a potential recession, and the integration of ESG within fixed income.

Five questions fixed income investors are asking in 2022
Features & Outlooks

Five questions fixed income investors are asking in 2022

Our fixed income teams consider monetary policy-related conundrums and where, outside of policy, they see opportunities and risks for investors.

Global Perspectives Podcast: An extreme hatred of bonds… just or unfair?
Features & Outlooks

Global Perspectives Podcast: An extreme hatred of bonds… just or unfair?

Investor positioning still (unfairly) reflects an extreme hatred of bonds.

Why Style and Quality Matter
Investment Insights

Why Style and Quality Matter

In a market environment characterised by uncertainty and record low yields, some investors have leaned towards riskier segments of the market. However, at what cost? This article looks at how investors have navigated the testing market in the hunt for yield and how the Henderson Diversified Income Trust has stuck to its tried and tested investment approach to produce a consistent, stable, and sensible income for its shareholders.

Strategic Fixed Income: a more fertile environment for bond returns
Analysis & Studies

Strategic Fixed Income: a more fertile environment for bond returns

Jenna Barnard and John Pattullo believe developed market government bonds have a surprise in store in 2022.