For Financial Professionals in the US
Abandon Your Doubts
Not Your Goals
Uncertainty can cause investors to question their investment strategy. But with the right perspective, it's possible to look past today's uncertainty and stay focused on long-term objectives.
Janus Henderson Corporate Debt Index
The Corporate Debt Index is the first edition in a long-term study into trends in company indebtedness around the world, the investment opportunities this provides and the risks it presents.
Quarterly insight from our equity teams to help clients navigate the markets and opportunities ahead.
Fixed Income Perspectives
Quarterly insight from our fixed income teams to help clients navigate the risks and opportunities ahead.
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The rapid adoption of cloud computing and e-commerce are just some of the investment themes we see emerging as the economy moves toward recovery.
Investors maintaining a tech allocation should stay focused on the secular forces behind the sector’s recent impressive financial performance.
Now that stocks are back above their pre-crash record highs, we revisit some advice published in March – and find much of it remains unchanged.
The Federal Reserve’s actions during the COVID-19 crisis have led to an almost idyllic environment to invest in corporate bonds.
Fixed income investors may need to assess whether their portfolio can provide stability given the high likelihood of volatility in the months ahead.
Why market uncertainty highlights the importance of setting expectations and helping clients stick to their long-term plans.
Why we believe a disappointing fiscal response could shatter market expectations – and with them, this historic equities rally.
Observing recent trends in the small- and mid-cap space, where money-losing companies have consistently outperformed profitable businesses.
Gauging the potential for a sustained cross-asset recovery as the world adapts to a new paradigm where COVID-19 remains a persistent risk factor.
A look at factors shaping credit markets, from central bank support to potential resilience from financials.
Why the economic impact from COVID-19 could end up being one of the sharpest but also one of the shortest recessions on record.
An explanation of the market’s dramatic gains in recent weeks and factors that need to be in place to sustain a V-shaped recovery.