For Institutional Investors in the US

Jason England

Portfolio Manager
Jason England | Janus Henderson Investors

Jason England is a Global Bonds Portfolio Manager at Janus Henderson Investors responsible for co-managing the Absolute Return Income and Absolute Return Income Plus strategies. Prior to joining Janus in 2017, Mr. England was with PIMCO, most recently as senior vice president and portfolio manager for core sector fund separate account portfolios. While there from 1994 to 2015, he was involved with launching their first hedge fund, exchange-traded fund and global multi-asset product portfolios as well as management of numerous fixed income and asset allocation portfolios.

Mr. England received both a bachelor’s degree in business administration and finance and his MBA from the University of Southern California, Marshall School of Business. He has 26 years of financial industry experience.

Articles Written

Bond Markets Channel Their Inner Tubthumping

Bond Markets Channel Their Inner Tubthumping

A reflection on how the lyrics of a pop hit from 20 years ago can have some interesting overlap with today’s crisis-hit economy and markets.

The Shape of Credit

The Shape of Credit

A look at factors shaping credit markets, from central bank support to potential resilience from financials.

Beyond the Nadir: What’s Next for Fixed Income

Beyond the Nadir: What’s Next for Fixed Income

Little more than two months after global markets dramatically sold off on worries over COVID-19, have fixed income markets returned to “normal”?

Roundtable Discussion: Navigating Low Rates and Political Upheaval
Quick Views Interest Rates

Roundtable Discussion: Navigating Low Rates and Political Upheaval

Portfolio Managers Nick Maroutsos, Dan Siluk and Jason England talk candidly about how geopolitics and low interest rates are influencing the market.