With income in ever greater demand, some strategies are becoming overly complex and difficult to understand. At Janus Henderson Investors, we offer a straightforward approach to income.

In today’s world of historically low global interest rates, income innovation has been welcome. But many new solutions are stretching risk boundaries of traditional income asset classes by utilizing increasingly complex and esoteric instruments.
In our latest research paper, Income Investing Simplified, you'll learn about our proprietary Industry Portraits and how we believe income portfolios can better serve specific client needs with globally balanced equities and goals-based fixed income.

With income in ever greater demand, some strategies are becoming overly complex and difficult to understand. At Janus Henderson Investors, we offer a straightforward approach to income.

In today’s world of historically low global interest rates, income innovation has been welcome. But many new solutions are stretching risk boundaries of traditional income asset classes by utilizing increasingly complex and esoteric instruments.
In our latest research paper, Income Investing Simplified, you'll learn about our proprietary Industry Portraits and how we believe income portfolios can better serve specific client needs with globally balanced equities and goals-based fixed income.
Janus Henderson’s Proprietary Industry Portraits
Averages of thousands of advisor portfolios submitted to our Portfolio Construction Services Team
DOWNLOAD "INCOME INVESTING SIMPLIFIED"

Straightforward Solutions

At Janus Henderson, our approach focuses on straightforward solutions. Simplify your portfolio with our income funds.

Global Equity Income Fund

Investing Amid the Noise of Trade Wars

By Ben Lofthouse

A global equity portfolio seeking high current income with relatively low volatility.
  • Invests with an international bias where the income-generating potential may be greater
  • Long-only, high-quality portfolio with no leverage use
  • The portfolio has provided nearly 100% dividend income since inception and no cap gains since 2007
Overall Morningstar Rating
as of 6/30/18
of 271 Foreign Large Value Funds
LEARN MORE
Janus Henderson’s Proprietary Industry Portraits
Averages of thousands of advisor portfolios submitted to our Portfolio Construction Services Team
DOWNLOAD "INCOME INVESTING SIMPLIFIED"

Straightforward Solutions

At Janus Henderson, our approach focuses on straightforward solutions. Simplify your portfolio with our income funds.

Global Equity Income Fund

A global equity portfolio seeking high current income with relatively low volatility.
  • Invests with an international bias where the income-generating potential may be greater
  • Long-only, high-quality portfolio with no leverage use
  • The portfolio has provided nearly 100% dividend income since inception and no cap gains since 2007
Overall Morningstar Rating
as of 6/30/18
of 271 Foreign Large Value Funds
LEARN MORE

Investing Amid the Noise of Trade Wars

By Ben Lofthouse

Janus Henderson’s Proprietary Industry Portraits
Averages of thousands of advisor portfolios submitted to our Portfolio Construction Services Team
DOWNLOAD "INCOME INVESTING SIMPLIFIED"

Straightforward Solutions

At Janus Henderson, our approach focuses on straightforward solutions. Simplify your portfolio with our income funds.

Global Equity Income Fund

A global equity portfolio seeking high current income with relatively low volatility.
  • Invests with an international bias where the income-generating potential may be greater
  • Long-only, high-quality portfolio with no leverage use
  • The portfolio has provided nearly 100% dividend income since inception and no cap gains since 2007
Overall Morningstar Rating
as of 6/30/18
of 271 Foreign Large Value Funds
LEARN MORE

Investing Amid the Noise of Trade Wars

By Ben Lofthouse

PM Perspectives: As Rates Rise, Floating-Rate Instruments May Provide Income Potential

By Seth Meyer

Multi-Sector Income Fund

A dynamic portfolio seeking to balance high income opportunities with high-quality, shorter-duration securities.
  • Seeks high, consistent income with lower volatility than a dedicated high-yield strategy
  • Dynamic risk profile designed to navigate both rate risk and credit risk
  • Diversification through traditional bond sectors
Overall Morningstar Rating
as of 6/30/18
of 267 Multisector Bond Funds
LEARN MORE

PM Perspectives: As Rates Rise, Floating-Rate Instruments May Provide Income Potential

By Seth Meyer

Multi-Sector Income Fund

A dynamic portfolio seeking to balance high income opportunities with high-quality, shorter-duration securities.
  • Seeks high, consistent income with lower volatility than a dedicated high-yield strategy
  • Dynamic risk profile designed to navigate both rate risk and credit risk
  • Diversification through traditional bond sectors
Overall Morningstar Rating
as of 6/30/18
of 267 Multisector Bond Funds
LEARN MORE

Strategic Income Fund

A developed world bond portfolio that is designed to diversify and complement a client's U.S. bond exposure while seeking sensible income opportunities.
  • Seeks to maximize total return while actively managing credit and duration exposure
  • Invests in sensible income opportunities across developed markets with a focus on regions with divergent growth and interest rate outlooks
  • The portfolio is typically hedged back to the U.S. dollar, seeking to remove currency risk for U.S. investors
Overall Morningstar Rating
as of 6/30/18
of 258 World Bond Funds
LEARN MORE

How Will Ongoing Interest Rate Divergence Impact Bond Markets?

By Jenna Barnard, CFA

Straightforward Solutions

At Janus Henderson, our approach focuses on straightforward solutions. Simplify your portfolio with our income funds.

Global Equity Income Fund

A global equity portfolio seeking high current income with relatively low volatility.
  • Invests with an international bias where the income-generating potential may be greater
  • Long-only, high-quality portfolio with no leverage use
  • The portfolio has provided nearly 100% dividend income since inception and no cap gains since 2007
Overall Morningstar Rating
as of 6/30/18
of 271 Foreign Large Value Funds
LEARN MORE

Investing Amid the Noise of Trade Wars

By Ben Lofthouse

Multi-Sector Income Fund

PM Perspectives: As Rates Rise, Floating-Rate Instruments May Provide Income Potential

By Seth Meyer

A dynamic portfolio seeking to balance high income opportunities with high-quality, shorter-duration securities.
  • Seeks high, consistent income with lower volatility than a dedicated high-yield strategy
  • Dynamic risk profile designed to navigate both rate risk and credit risk
  • Diversification through traditional bond sectors
Overall Morningstar Rating
as of 6/30/18
of 267 Multisector Bond Funds
LEARN MORE

PM Perspectives: As Rates Rise, Floating-Rate Instruments May Provide Income Potential

By Seth Meyer

Multi-Sector Income Fund

A dynamic portfolio seeking to balance high income opportunities with high-quality, shorter-duration securities.
  • Seeks high, consistent income with lower volatility than a dedicated high-yield strategy
  • Dynamic risk profile designed to navigate both rate risk and credit risk
  • Diversification through traditional bond sectors
Overall Morningstar Rating
as of 6/30/18
of 267 Multisector Bond Funds
LEARN MORE

Strategic Income Fund

How Will Ongoing Interest Rate Divergence Impact Bond Markets?

By Jenna Barnard, CFA

A developed world bond portfolio that is designed to diversify and complement a client's U.S. bond exposure while seeking sensible income opportunities.
  • Seeks to maximize total return while actively managing credit and duration exposure
  • Invests in sensible income opportunities across developed markets with a focus on regions with divergent growth and interest rate outlooks
  • The portfolio is typically hedged back to the U.S. dollar, seeking to remove currency risk for U.S. investors
Overall Morningstar Rating
as of 6/30/18
of 258 World Bond Funds
LEARN MORE

Strategic Income Fund

A developed world bond portfolio that is designed to diversify and complement a client's U.S. bond exposure while seeking sensible income opportunities.
  • Seeks to maximize total return while actively managing credit and duration exposure
  • Invests in sensible income opportunities across developed markets with a focus on regions with divergent growth and interest rate outlooks
  • The portfolio is typically hedged back to the U.S. dollar, seeking to remove currency risk for U.S. investors
Overall Morningstar Rating
as of 6/30/18
of 258 World Bond Funds
LEARN MORE

How Will Ongoing Interest Rate Divergence Impact Bond Markets?

By Jenna Barnard, CFA

Strategic Income Fund

A developed world bond portfolio that is designed to diversify and complement a client's U.S. bond exposure while seeking sensible income opportunities.
  • Seeks to maximize total return while actively managing credit and duration exposure
  • Invests in sensible income opportunities across developed markets with a focus on regions with divergent growth and interest rate outlooks
  • The portfolio is typically hedged back to the U.S. dollar, seeking to remove currency risk for U.S. investors
Overall Morningstar Rating
as of 6/30/18
of 258 World Bond Funds
LEARN MORE

How Will Ongoing Interest Rate Divergence Impact Bond Markets?

By Jenna Barnard, CFA

VNLA – Short Duration

Income ETF

Normalizing Fed Policy Presents Challenges, but not Insurmountable Ones

By Daniel Siluk & Jason England

An ETF seeking high-quality, global fixed income opportunities to provide steady income and returns above cash (3-month USD LIBOR).
  • May offer higher yield than a money market fund
  • Focuses on capital preservation while seeking to generate steady income
  • May provide diversification benefits compared to traditional fixed income asset classes
LEARN MORE
The Fund may be subject to greater investment risk than a money market fund. The Fund is not a money market fund and does not attempt to maintain a stable net asset value.

Normalizing Fed Policy Presents Challenges, but not Insurmountable Ones

By Daniel Siluk & Jason England

The Fund may be subject to greater investment risk than a money market fund. The Fund is not a money market fund and does not attempt to maintain a stable net asset value.

VNLA – Short Duration

Income ETF

An ETF seeking high-quality, global fixed income opportunities to provide steady income and returns above cash (3-month USD LIBOR).
  • May offer a higher yield than a money market fund
  • Focuses on capital preservation while seeking to generate steady income
  • May provide diversification benefits compared to traditional fixed income asset classes
LEARN MORE

Normalizing Fed Policy Presents Challenges, but not Insurmountable Ones

By Daniel Siluk & Jason England

The Fund may be subject to greater investment risk than a money market fund. The Fund is not a money market fund and does not attempt to maintain a stable net asset value.

VNLA – Short Duration

Income ETF

An ETF seeking high-quality, global fixed income opportunities to provide steady income and returns above cash (3-month USD LIBOR).
  • May offer a higher yield than a money market fund
  • Focuses on capital preservation while seeking to generate steady income
  • May provide diversification benefits compared to traditional fixed income asset classes
LEARN MORE
ADDITIONAL RESOURCES

ADDITIONAL RESOURCES

Janus Henderson Global Dividend Index

Designed to help investors better understand and simplify the world of income investing, JHGDI is the first of its kind, a long-term study into global divided trends, broken down into regions, industries and sectors.
ACCESS THE STUDY

Janus Henderson

Global Dividend Index

The Janus Henderson Global Dividend Index (JHGDI) is a long-term study into global dividend trends. It is a measure of progress that global firms are making in paying their investors an income on their capital. It analyzes dividends paid every quarter by the 1,200 largest firms by market capitalization.
ACCESS THE STUDY

Normalizing Fed Policy Presents Challenges, but not Insurmountable Ones

By Daniel Siluk & Jason England

The Fund may be subject to greater investment risk than a money market fund. The Fund is not a money market fund and does not attempt to maintain a stable net asset value.

VNLA – Short Duration

Income ETF

An ETF seeking high-quality, global fixed income opportunities to provide steady income and returns above cash (3-month USD LIBOR).
  • May offer a higher yield than a money market fund
  • Focuses on capital preservation while seeking to generate steady income
  • May provide diversification benefits compared to traditional fixed income asset classes
LEARN MORE

ADDITIONAL RESOURCES

Janus Henderson Global Dividend Index

Designed to help investors better understand and simplify the world of income investing, JHGDI is a long-term study into global divided trends, broken down into regions, industries and sectors.
ACCESS THE STUDY
ADDITIONAL RESOURCES

Janus Henderson

Global Dividend Index

The Janus Henderson Global Dividend Index (JHGDI) is a long-term study into global dividend trends. It is a measure of progress that global firms are making in paying their investors an income on their capital. It analyzes dividends paid every quarter by the 1,200 largest firms by market capitalization.
ACCESS THE STUDY
For more information on how to simplify your portfolio with our income solutions, please call 800.668.0434 or visit janushenderson.com/advisor.
For more information on how to simplify your portfolio with our income solutions, please call 800.668.0434 or visit janushenderson.com/advisor.
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