For financial professionals in Norway

George P. Maris, CFA

Co-Head of Equities – Americas | Portfolio Manager
George P. Maris, CFA | Janus Henderson Investors

George P. Maris is Co-Head of Equities – Americas at Janus Henderson Investors, a position he has held since 2018. George is responsible for leading the equity division in the Americas region and is also the lead Portfolio Manager for the International Alpha Equity strategy and the Global Alpha Equity strategy, which includes the Overseas and Global Select products, respectively. Additionally, George serves on the Janus Henderson Executive Committee, the Ethics Committee and North American Leadership Team, and was previously a member of the Operating, and Proxy Committees, and the Perkins Investment Management Executive Board. He came to Janus in 2011 as a portfolio manager from Northern Trust, where he managed the US large-cap core, international large-cap core, and global equity strategies. Prior to joining Northern Trust in 2008, George spent four years as a portfolio manager at Columbia Management Group co-managing the firm’s US large- and mid-cap core portfolios. From 1999 to 2004, he was a member of the investment team at Putnam Investments, serving as a portfolio manager, equity analyst, and derivatives strategist in Putnam’s Value Group and working on domestic, international, and global equity strategies. He was a guest lecturer on security analysis at MIT’s Sloan School of Management from 2003 to 2005.

George received his bachelor of arts degree in economics from Swarthmore College. He also earned an MBA from the University of Chicago and a juris doctorate from the University of Illinois. George holds the Chartered Financial Analyst designation and has 24 years of financial industry experience.

Articles Written

Investing in the “local for local” economy

Investing in the “local for local” economy

As supply chain troubles persist, more companies are considering reshoring operations – and looking to technology to make the transition possible.

Taking the Long View on Market Volatility
Features & Outlooks

Taking the Long View on Market Volatility

With easy monetary policies ending in developed economies, fundamentals become especially important for investors.

Global equities: balancing a broadening recovery with inflation concerns

Global equities: balancing a broadening recovery with inflation concerns

The degree to which inflation elicits policy responses – and an evolving market structure – should command equities investors’ attention in 2022.