Jenna Barnard, CFA
Jenna Barnard is Co-Head of Global Bonds at Janus Henderson Investors, a position she has held since 2015. She manages and co-manages a range of global bond strategies and funds meeting different client needs globally. Jenna joined Henderson in 2002 as a credit analyst and was promoted to portfolio manager in 2004. Prior to this, she worked as an investment analyst with Orbitex Investments.
Jenna graduated with a first class BA degree (Hons) in politics, philosophy, and economics from Oxford University. She holds the Chartered Financial Analyst designation, is a member of the Society of Technical Analysts, and is an Affiliate Member of the UK Society of Investment Professionals. She has 23 years of financial industry experience.
Articles Written
Duration matters
Exploring the evidence to support taking a rate sensitive (high duration) stance within a bond portfolio.
Global Perspectives: Disinflation creates solid ground for rate cuts
Why we should be on solid ground for rate cuts and the implications for bond markets.
Rate cutting cycles in US back to 1969
With inflation fast becoming yesterday’s news we look at how 10-year Treasury yields have behaved in rate cutting cycles back to 1969.
Do all roads lead to lower bond yields in 2024?
Jenna Barnard and John Pattullo consider the outlook for bonds in 2024, positing that different routes are likely to lead to the same destination.
The message from bond bear steepening
The Global Bonds Team puts the recent bond bear steepening in context and reflects on what it might mean for the future direction of bond yields.
Tightening the screw: Restrictive policy is taking effect
How restrictive policy is taking effect and why it should lead to a pullback in yields from current highs.
Global Perspectives: Dissecting the cycle
Why we believe the market is too pessimistic on inflation improvement but too optimistic on the growth environment.
Unconscious uncoupling: The drift of UK inflation
An exploration of what is causing UK inflation to be an outlier.
Strategic Bond update: Bank woes should hasten peak in rates
Why bank difficulties are likely to hasten the peak in monetary tightening
Global Perspectives Podcast: An extreme hatred of bonds… just or unfair?
Investor positioning still (unfairly) reflects an extreme hatred of bonds.
Strategic Fixed Income: Central banks in 2022 – making long bonds great again
Co-Head of Strategic Fixed Income Jenna Barnard outlines how the team’s cyclical process for managing bond exposures is signalling a collapse in US government bond yields around springtime.
Global Perspectives Podcast: No one’s listening to the bond markets
Bond markets are once again sending a message on rates. Is anyone listening? Adam Hetts talks to John Pattullo and Jenna Barnard from the Strategic Fixed Income team.