Multi-Asset

Global multi-asset platform: Applying a variety of lenses and risk management approaches

Why Janus Henderson for multi-asset investing?


Janus Henderson’s global multi-asset platform delivers tailored strategies designed to help clients balance growth with income, all while seeking to mitigate risk across market conditions.

Our experienced investment professionals combine market assumptions and modeling, rigorous research, and global insights to build diversified solutions.

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Global, multi-asset platform

hand with healthcare plus sign

Global, multi-asset platform

Broad investment capabilities leveraging the best of Janus Henderson, including our award-winning Portfolio Construction & Strategy service.

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Adaptive multi-asset solutions

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Adaptive multi-asset solutions

Informed by options market data, the adaptive platform seeks to enhance compound returns and manage downside risk across global stocks, bonds, cash, and commodities.

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Established balanced strategy

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Established balanced strategy

For 30+ years, this dynamic asset allocation strategy has served as a one-stop core solution for investors.

Our multi-asset platform


Balanced Fund

30+ year history of providing S&P 500-Like Returns with significantly less volatility

€50.1bn

Multi-Asset AUM

15

Multi-Asset investment professionals

21

Average years' experience

As at 31 December 2025

Diversification may offer a more efficient portfolio; theory and history suggest that a diversified portfolio would be expected to deliver a better return per unit of risk than a more concentrated portfolio will do. We strongly believe that any serious focus on wealth preservation or wealth accumulation should have a diversified portfolio at its core.

Featured products


Balanced Fund


Differentiated insights


Investing in the AI mega-theme: Key risks and opportunities for investors

Investing in the AI mega-theme: Key risks and opportunities for investors

To gain perspective on recent volatility, we believe investors need to understand the magnitude of the AI transformation and how it will invariably impact every corporate sector

Does your balanced fund have these three key essentials?

Three essential elements to consider for an effective balanced strategy, plus trends to watch in equities and fixed income in 2026.

Chart to Watch: Monitoring low levels of systemic risk in U.S. equities

We view the lack of systemic risk priced into the market as the culprit for correlations among U.S. equities being near historic lows.

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