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Multi-Sector Income Fund

For investors seeking a steady stream of high income with lower risk than a dedicated high-yield strategy.

Overview

US National Day of Mourning for President Carter – non-dealing day in this fund

Please note we are declaring an additional non-dealing day for this fund. A non-dealing day will be in place on Thursday 9 January 2025, with dealing resuming on Friday 10 January 2025. This is due to the US National Day of Mourning for President Carter, which will see the New York Stock Exchange closed for the day.

Quarterly Update

The investment team recap this quarter.

(Note: Filmed in July 2025).

INVESTMENT OBJECTIVE

This Fund’s investment objective is to seek high current income with a secondary focus on capital appreciation. Under normal circumstances, the Fund pursues its investment objective by investing principally in a multi-sector portfolio of Debt Securities from issuers located anywhere in the world (including Developing Markets).

ABOUT THIS FUND

  • A dynamic, multi-sector income fund that seeks high, current income with lower volatility than a dedicated high-yield strategy.
  • Leverages bottom-up, fundamental analysis to focus on identifying the best risk-adjusted returns across fixed income sectors.
  • Typically holds 35% to 65% in below-investment-grade bonds.

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Join us for an update on the Multi-Sector Income Fund.

Portfolio Management

John Lloyd

Global Head of Multi-Sector Credit | Portfolio Manager

Industry since 1998. Joined Firm in 2005.

John Kerschner, CFA

Global Head of Securitised Products | Portfolio Manager

Industry since 1990. Joined Firm in 2010.

Tom Ross, CFA

Head of High Yield | Portfolio Manager

Industry since 2002. Joined Firm in 2002.

Tim Elliot

Portfolio Manager

Industry since 1997. Joined Firm in 2014.

Colin Fleury

Head of Secured Credit | Portfolio Manager

Industry since 1986. Joined Firm in 2007.

Performance

Portfolio

Industry Allocation % of Fund % of Index % of Fund % of Index As of 30/06/2025
Maturity Breakdown of Fixed Income Holdings % of Fund % of Index % of Fund % of Index As of 30/06/2025
Credit Quality of Fixed Income Holdings % of Fund % of Index % of Fund % of Index As of 30/06/2025
Country/Geographic Exposures % of Fund % of Index % of Fund % of Index As of 30/06/2025
Regional Allocation % of Fund % of Index % of Fund % of Index As of 30/06/2025

Documents