Marc Pinto, CFA

Portfolio Manager
Marc Pinto, CFA | Janus Henderson Investors

Marc Pinto is a Portfolio Manager at Janus Henderson Investors responsible for the Opportunistic Growth strategy. He also co-manages the Balanced and Growth & Income strategies. Before joining Janus as a research analyst in 1994, Mr. Pinto worked as an associate in the investment banking division at Goldman Sachs and as a research associate at Fred Alger Management.

Mr. Pinto received his bachelor of arts degree in history from Yale University and his MBA from Harvard Business School, where he graduated with distinction. He holds the Chartered Financial Analyst designation and has 34 years of financial industry experience.

Articles Written

Staying Active Through Uncertainty

Staying Active Through Uncertainty

The importance of staying active to navigate the downturn and position for an eventual recovery.

Finding Balance
Global Perspectives

Finding Balance

Janus Henderson Balanced Fund Co-Portfolio Manager, Marc Pinto explains how he and the portfolio management team use a balanced approach to risk and return.

Election Insights: Stocks Tracking Primary Outcomes

Election Insights: Stocks Tracking Primary Outcomes

Portfolio Manager Marc Pinto weighs in on how equity markets are reacting to the latest developments in the U.S. presidential election.

Room to Grow? The Outlook for Equities Late in the Cycle

Room to Grow? The Outlook for Equities Late in the Cycle

Portfolio Managers Marc Pinto and Jeremiah Buckley discuss equity opportunities in the late stages of the current economic cycle.

Market GPS: Consumer Spending and Low Rates Favor Stocks in 2020

Market GPS: Consumer Spending and Low Rates Favor Stocks in 2020

A healthy consumer and low bond yields – two trends that dominated 2019 – look set to continue in 2020, creating a favorable backdrop for equities.