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Horizon Euro Corporate Bond Fund

For investors seeking high-quality European credit exposure and an opportunity for total return that exceeds the benchmark

Overview

Quarterly Update

Watch the investment team recap this quarter.

(Note: As at October 2024).

INVESTMENT OBJECTIVE

The investment objective of the Euro Corporate Bond Fund is to provide a total return in excess of that generated by the iBoxx Euro Corporates Index by investing primarily in Euro denominated investment grade corporate bonds and other fixed and floating rate securities. The Fund may invest up to 20% of its net assets in contingent convertible bonds.

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The Fund may make use of a variety of instruments / strategies in order to achieve the Fund’s objective including, but not limited to, forward rate notes, forward foreign exchange contracts (including non-deliverable forwards), interest rate futures, bond futures and OTC swaps (such as interest rate swaps, credit default swaps, credit default swaps on indices and total return swaps).

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ABOUT THIS FUND

  • Invests primarily in euro-denominated, investment-grade corporate bonds
  • Careful security analysis ensures positions reflect conviction and opportunity rather than benchmark weights
  • Strong security analysis blended with top-down macroeconomic analysis, diversification, and risk management

RATINGS AND AWARDS

S&P assigns a Principal Stability Fund Rating (PSFR) for money market funds within a range from AAAm (highest) to Dm (lowest), where AAAm indicates S&P's opinion of a fund's extremely strong capacity to maintain principal stability and to limit exposure to principal losses due to credit risk and Dm indicates a failure to maintain principal stability resulting in a realized or unrealized loss of principal. Ratings do not eliminate risk and should not be used as the sole basis for evaluating an investment product. Please see Ratings Criteria at disclosure.spglobal.com/ratings/en/regulatory/ratings-criteria for further information. A fee was paid for the use of this data.

Portfolio Management

Tim Winstone, CFA

Head of Investment Grade Credit | Portfolio Manager

Industry since 2003. Joined Firm in 2015.

Performance

Portfolio

Industry allocation (%) % of Fund % of Index % of Fund % of Index As of 30/09/2025
Maturity Breakdown of Fixed Income Holdings % of Fund % of Index % of Fund % of Index As of 30/09/2025
Credit Quality of Fixed Income Holdings % of Fund % of Index % of Fund % of Index As of 30/09/2025
Country/Geographic Exposures % of Fund % of Index % of Fund % of Index As of 30/09/2025
Regional Allocation % of Fund % of Index % of Fund % of Index As of 30/09/2025

Documents