In our latest Credit Risk Monitor, Jim Cielinski discusses the latest impact on the credit cycle.
Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
Why we believe selective areas of fixed income – particularly mortgage-backed securities (MBS) – present an opportunity to provide favorable risk-adjusted returns.
A discussion on the key drivers of global dividend growth in 2022 and why further dividend growth is possible this year.
The latest edition of the Janus Henderson Global Dividend Index shows that global dividends reached a third-quarter record of $416 billion.
Property equities offer investors a liquid, diversified, and low-cost way of accessing the global real estate market.
A look at high-yield bonds and why some investors might consider a strategic allocation to high yield.
Diversification and yield are potential benefits of hard currency debt. We explore others alongside the risks of the asset class.
How the addition of floating-rate CLOs to traditional fixed-rate bond portfolios may improve risk-adjusted returns.
At Janus Henderson Investors, our focus is on growing and managing our clients’ capital and fulfilling our fiduciary responsibilities. In every market, client demand is increasing for us to invest with processes that incorporate environmental, social and governance (ESG) factors and sustainability. ESG factors are integral to how we think about risk and are embedded
Janus Henderson’s Global Dividend Index shows that global dividends reached an all-time quarterly high of $544.8 billion in Q2 2022.
With corporate performance proving resilient, the attractiveness of many equities market segments has improved during this year’s sell-off.