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Tom Ross, CFA

Portfolio Manager
Tom Ross, CFA | Janus Henderson Investors

Tom Ross is a Corporate Credit Portfolio Manager at Janus Henderson Investors, a position he has held since 2006. He is responsible for co-managing the Global High Yield, European High Yield, and European Investment Grade strategies. Prior to portfolio management, he specialised in credit trading on Henderson’s centralised dealing desk. He joined Henderson in 2002.

Tom graduated with a BSc degree (Hons) in biology from Nottingham University. He holds the Chartered Financial Analyst designation and has 20 years of financial industry experience.

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Articles Written

The case for high yield bonds
Analysis & Studies

The case for high yield bonds

What are high yield bonds and why should investors consider them?

Companies are repaying debts on a global scale

Companies are repaying debts on a global scale

Global corporate net debt fell by 0.2% on a constant-currency basis in 2021 to 2022 to $8.15 trillion.

Credit’s response as the policy brakes tighten
Features & Outlooks

Credit’s response as the policy brakes tighten

As central banks seek to put the brakes on higher inflation, how is this affecting credit markets?

High yield bonds: The useful side of supply constraints
Analysis & Studies

High yield bonds: The useful side of supply constraints

Low supply is providing a supportive technical environment for high yield bonds, helping to counter some of the inflation and growth concerns.

Global Perspectives Podcast: The high is back in high yield

Global Perspectives Podcast: The high is back in high yield

Recession risks and rising rates have lifted yields on high yield bonds so are these concerns now largely priced in?

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.

High yield in a rising rate environment

High yield in a rising rate environment

Brent Olson and Tom Ross, corporate credit portfolio managers on our Global High Yield platform, explore how factors affecting credit risk in high yield might help balance upward pressure on interest rate risk.

High yield bonds: looking beneath the bonnet

High yield bonds: looking beneath the bonnet

Why we believe high-yield bond returns in 2022 will be driven more by understanding the mechanics of individual companies’ fundamentals.

Upwardly mobile: credit’s quest for glory

Upwardly mobile: credit’s quest for glory

Fixed income portfolio managers Tom Ross and Tim Winstone explore how a drive to improve among corporate borrowers can have winning results for both companies and investors.

China’s economic rebalancing casts a cloud on property

China’s economic rebalancing casts a cloud on property

Fixed income portfolio managers Jennifer James and Tom Ross consider how efforts to rebalance the economy in China are having far-reaching implications.

The turn: high yield on the road to deleveraging

The turn: high yield on the road to deleveraging

Tom Ross, within the Global Corporate Credit Team, looks at whether the trajectory of credit fundamentals supports the strength in high yield bond markets.

Choice growth: potential opportunities from high yield expansion
Analysis & Studies

Choice growth: potential opportunities from high yield expansion

Tom Ross and Seth Meyer, corporate credit portfolio managers, explain why the rise in the size of the high yield bond market is to be welcomed.