Seth Meyer, CFA
Seth Meyer is Head of Fixed Income Strategy at Janus Henderson Investors, a role he has held since 2022. In this role, Seth informs on the strategic direction and ESG strategy of the fixed income platform, and leads the client portfolio manager team. Additionally, he is a Portfolio Manager responsible for co-managing the US and Global High Yield, Multi-Sector Credit and Short Duration High Yield strategies. Seth was promoted to assistant portfolio manager supporting primarily the High Yield and Short Duration High Yield strategies in 2012. He joined Janus in 2004 as a product manager covering a variety of equity and fixed income strategies before becoming a credit analyst. Prior to Janus, he was a consultant relations manager at OppenheimerFunds.
Seth received his bachelor of science degree in business administration with a concentration in finance from the University of Colorado. He holds the Chartered Financial Analyst designation and has 25 years of financial industry experience.
Late to the party: Are the best of money market returns behind us?
The potential benefits of moving out of money market funds into duration assets as the Fed ends its rate-hiking cycle.
The inverted yield curve: Making the case for fixed income in 2023?
In their 2023 outlook, Seth Meyer and John Lloyd look at the historical impact of an inverted yield curve on fixed income returns.
Higher for longer: the case for securitised assets in a higher rate environment
How securitised sectors might play a key role for bond investors amid a challenging interest rate environment.
A bird in the hand: are yield returns king again?
How high yield fixed income can help to bring defensive characteristics to multi-asset portfolios in a rising rate environment.