Janus Henderson launch Tactical Income Fund (mFund code: JHI02)
Janus Henderson launch new income fund
Janus Henderson Australia is a subsidiary of the global asset management group Janus Henderson Group plc (‘Janus Henderson’). Formed in 2017 from the merger between Janus Capital Group and Henderson Group plc, we are committed to adding value through active management.
Headquartered in London, Janus Henderson is an independent asset manager that is dual-listed on the New York Stock Exchange and the Australian Securities Exchange. As at 30 June 2017, Janus Henderson had $449.7 billion in assets under management, more than 2,000 employees and offices in 27 cities worldwide.
The Janus Henderson Tactical Income Fund ('Fund') seeks to achieve a total return after fees that exceeds the total return of the Benchmark (Bloomberg AusBond Bank Bill Index and Bloomberg AusBond Composite 0+ Yr Index equally weighted), by investing in a diversified portfolio of predominantly Australian income producing assets.
The Fund is an actively managed strategy that invests in a wide range of cash and fixed interest securities. These include debt issued by banks and other corporations, mortgage and other asset backed securities and government, semi-government and supra-national bonds. The Fund may also allocate to Australian and global high yielding securities when attractive opportunities are identified.
The Fund is designed to leverage the considerable expertise of the Manager and gives them the flexibility to tactically and actively allocate the Fund’s assets based on their assessment of the outlook for the Australian and global economy, interest rates and fundamentals of the corporate sector within the context of the credit cycle.
The flexible asset allocation ranges and fundamentally driven approach allows the Manager to meaningfully adjust the level of fixed interest exposure to both enhance performance in periods of falling interest rates and conversely, to protect value from the adverse impact of rising yields.
The overall level of credit risk within the Fund is actively adjusted to reflect the Manager’s assessment of fundamentals and valuations within the corporate debt market.
Learn more about the Janus Henderson Tactical Income Fund.
For further information, please view the Product Disclosure Statement or Fund Profile available at the Fund information page.