Thriving in abnormal market conditions
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Most investors’ portfolios have traditionally relied on equities and bonds to provide their primary source of returns. However, as markets and investor behaviours evolve, so too do investment opportunities.
The Janus Henderson Global Multi-Strategy Fund aims to deliver consistent, long-term returns uncorrelated to traditional assets and seeks to balance exposure to a range of adaptive “alternative” strategies designed to thrive in abnormal market environments.
By employing a diversified range of 7 investment strategies, including an explicit portfolio protection strategy, the Fund offers a truly ‘turn-key’ alternatives solution.

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David Elms is Head of Diversified Alternatives for Janus Henderson Investors responsible for enhanced index, risk premia, and hedge fund portfolios. Prior to joining Henderson in 2002, he spent eight years as a founding partner at Portfolio Partners. He was initially based in Melbourne, where he managed derivatives and enhanced index portfolios, and was later seconded to Aviva in London in a corporate strategy role following Aviva’s acquisition of Portfolio Partners.
David received a BCom degree (Hons) from the University of Melbourne and has 28 years of financial industry experience
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