Today investors rightly expect more. Many want the quality and reach of a larger global firm without sacrificing the intimacy and entrepreneurial ideas they might get from a smaller partner. Janus Henderson is committed to offering both.
As a leading global manager, we have the reach and range to offer actively managed solutions to diverse investment goals and seek to deliver exceptional service to clients. At the core of our offering are three key factors:
- World-class investment professionals: Our high calibre teams of investment managers, experienced analysts and other subject matter experts channel their ideas to help clients move towards their investment goals. These teams are ever ready to share their views.
- Ideas and innovation: Our entrepreneurial and open-minded culture encourages fresh thinking. We provide a framework that allows our investment teams to act quickly on their insight, while cross-pollinating ideas where appropriate, to maximise opportunities. This approach is reflected in our Knowledge. Shared ethos.
- Strong client relationships: Our investment strategies are developed to allow clients to benefit from our unique perspectives and techniques. All of our colleagues are empowered to deliver the high level of support and service that clients should expect.
At Janus Henderson, we blend human insight, originality and instinct with rigorous analysis, structured processes and risk management. It is this creative mix that we believe allows us to best deliver on client goals.
Put simply, our role is to deliver superior long-term investment performance by taking investment risk appropriate to client expectations. To do this, we provide a supportive framework that allows our skilful investment managers to perform to the best of their ability.
Our dynamic teams are structured and operate in ways that are best suited to their asset classes. This results in certain teams tapping into the fundamentals-based insight provided by our experienced analysts, while others base investment decisions solely on their own research and views. We do not impose top-down house views; instead we allow an appropriate level of flexibility within a controlled environment.
Everything is shaped with the client in mind. Products are developed to meet evolving needs and investment managers operate within clearly articulated parameters to achieve stated and/or agreed upon objectives. Transparency of process, positioning and progress towards meeting objectives are central to our approach and our investment and distribution teams seek to keep clients informed at every stage.
Risk management and controls are given the highest priority. While we encourage fresh thinking and creativity, we ensure this is actioned at all times in a measurable and regulated way. We recognise that risk has to be taken to generate outperformance, and our controls ensure that this risk is in accordance with client expectations and investment manager intentions.
We offer expertise across all major asset classes, with investment teams situated around the world. These dynamic teams are structured and operate in ways that are best suited to their asset classes and manage products designed to meet a range of investor needs globally. We do not impose top-down house views; instead we allow an appropriate level of flexibility within a controlled environment and encourage the sharing and debate of investment ideas.
The Janus Henderson investment teams* are grouped under five headings:
*Please note these teams manage products that may only be available in certain markets and may only be suitable to certain levels of investors
We offer a wide range of equity strategies encompassing different geographic focuses and investment styles. The equity teams include those with a global perspective, those with a regional focus – US, Europe, Asia and Australia – and those invested in specialist sectors. These teams generally apply processes based on fundamental research and bottom-up stock picking.
£132.0bn in assets under management*
Our INTECH business uses a quantitative approach based on the view that volatility in large cap equities can be captured as a source of reward, rather than just risk, for investors. INTECH has managed institutional portfolios since 1987.
£37.0bn in assets under management*
Our Fixed Income teams provide coverage across the asset class applying a wide range of innovative and differentiated techniques. These teams include those adopting global unconstrained approaches through to those with more focused mandates – based in the US, Europe, Asia and Australia. The capabilities of these teams can be accessed through individual strategies and are combined where appropriate to form multi-strategy offerings.
£61.2bn in assets under management*
Janus Henderson Multi-Asset includes teams in the US and UK. In the US, the team manages Global Asset Allocation strategies. In the UK, we have asset allocation specialists, traditional multi-manager investors and those focused on alternative asset classes.
£20.1bn in assets under management*
The Janus Henderson Alternatives grouping includes teams with different areas of focus and approach. Diversified Alternatives brings together a cross-asset class combination of alpha generation, risk management and efficient beta replication strategies. These include Multi-Strategy, Liquid Alternatives, Agriculture and Global Commodities/Managed Futures.
Our Exchange Traded Funds Team focuses on designing active, enhanced beta and thematic ETFs that help clients reach a variety of investment goals. Finally, the management of our direct UK commercial property offering is sub advised to TH Real Estate.
£14.2bn in assets under management*
*Combined pre-merger figures of Janus Capital Group and Henderson Global Investors, at 31 March 2017
At Janus Henderson, we believe in the sharing of expert insight for better investment and business decisions. We call this ethos Knowledge. Shared.
Knowledge. Shared is reflected both in how our investment teams interact and in our commitment to empowering clients in their decision-making.
Knowledge shapes the forward-looking views of our investment teams and how they position their portfolios. It is built upon their experience and reflected in their unique perspectives of how the world is changing and where opportunities lie. We believe that, where appropriate, our teams benefit from sharing and debating these views, and this dialogue frequently results in richer and more rounded investment theses.
We also strongly believe in the importance of sharing, and shaping, our knowledge by interacting with clients. This means explaining the opportunities and risks identified by our investment teams and exploring how they can be applied to address the challenges faced by clients. Building strong relationships and sharing views helps clients make informed decisions and supports the development of innovative products.
Central to this approach is making the intellectual capital of our investment teams and subject matter experts readily available. By providing timely reactions to market-moving events, candid manager views on investment trends and a wide curriculum of education and support at the appropriate level, we seek to empower our clients and give them an advantage. We value knowledge highly, and seek to deliver it in as relevant, timely and useful a manner as possible.
In our view, knowledge is powerful when it is shared.