Which themes are shaping the 2019 investment landscape? Read the thinking of our investment teams in the Janus Henderson Mid-Year Market GPS.
Why the Federal Reserve was correct in not cutting rates Wednesday and which factors may justify a move lower in July.
Equity analyst Barrington Pitt Miller explains how a vulnerable market infrastructure may lead to a liquidity crunch with dire consequences in key markets.
Ben Lofthouse and Bethany Payne respond to the rejection of the May’s Brexit deal and the uncertainty that surrounds the UK’s future relationship with the EU.
In the first of two videos, George Maris, Co-Head of Equities – Americas, discusses fundamental reasons for the return of market volatility.
Portfolio Managers Jonathan Coleman, CFA, and Scott Stutzman, CFA, share their insights on December’s market slide, and where they see opportunity after the sell-off.
Ryan Myerberg, Portfolio Manager on the Global Bonds team, examines the outcome of the latest Fed meeting and the reaction in the markets.
Head of U.S. Fundamental Fixed Income Darrell Watters and Portfolio Manager Mayur Saigal react to the Fed’s most recent rate hike and discuss what’s to come.