Janus Henderson: Unravelling the forces driving corporate credit’s resilience
Head of High Yield Tom Ross and Corporate Credit Portfolio Manager James Briggs examine how fundamentals, market behaviour and dynamics as well as macro context are shaping credit resilience.
Janus Henderson: Assessing AI-driven risks in European CLOs
Portfolio Manager Denis Struc and Research Analyst Zhulin Chen assess technology and software exposure in European CLOs amid rising dispersion.
Janus Henderson: Securitised & CLO ETFs Webcast
Register for our upcoming webcast with John Kerschner, Global Head of Securitised Products, to explore what our securitised capabilities and CLO ETFs could do for your portfolio.
Janus Henderson: Fixed Income Q4 Strategy Videos
Watch our latest Fixed Income strategy update videos.
Janus Henderson: Global Perspectives: ABS may provide attractive opportunities
In this episode, Portfolio Managers John Kerschner and Nick Childs discuss the asset-backed securities (ABS) market, identifying key risks and opportunities for investors seeking to navigate the evolving fixed income landscape.
Janus Henderson: AA and A rated CLOs have offered compelling risk-adjusted returns
Chart to watch: over the past five years, collateralized loan obligations (CLOs) have delivered some of the best risk-adjusted returns available in fixed income markets.
Janus Henderson: ABS: How structural mechanisms shape investor outcomes
Today’s asset-backed securities structures are more resilient and better regulated than those of the past, potentially offering attractive risk-adjusted returns.
Janus Henderson: Equities Quarterly Strategy Updates
Watch our latest Equities strategy update videos.
Janus Henderson: Capturing yield, safety and diversification through BBB CLOs
Portfolio Manager Denis Struc and EMEA Client Portfolio Manager Lead Kareena Moledina explore how BBB CLOs combine yield, resilience and diversification across market cycles.
Janus Henderson: European Securitised Credit: Broadening horizons in 2026
Portfolio Manager Ian Bettney highlights how regulatory alignment and global issuance trends are unlocking new opportunities for European securitised investors.



