Get Income. Go Global. – Janus Henderson – 6.15.17


On Demand Now.

At Janus Henderson, we believe that global investments may provide a larger scope of opportunities within the income space. Learn where our equity and fixed income investment teams see the greatest global income opportunities now and moving forward.

Join us for this in-depth discussion that will cover:

Global Equities

  • How investors home country bias may be limiting their income opportunities
  • Why investors should consider going global to potentially maximize income potential
  • The potential benefits of equity income strategies that leverage dividend-seeking valuation-driven processes

Global Fixed Income

  • The continuing struggle to find the income in fixed “income”
  • Moving beyond traditional benchmarks for flexibility and responsiveness
  • Differentiated options for achieving income goals

Sponsors of this webcast may contact registrants.


Adam Hetts, CFA – Moderator
Vice President, Head of Portfolio Construction Services
Janus Henderson Investors

Adam Hetts is Vice President at Janus Henderson Investors and Head of Portfolio Construction Services. Mr. Hetts leads the portfolio construction services team that is focused on delivering actionable investment strategy and thought leadership in order to help clients across all aspects of the investment management process. From 2011 until joining Janus in 2017, he was vice president, senior portfolio strategist with Goldman Sachs Asset Management in New York, leading efforts in the U.S. and Asia Pacific regions. Prior to his role as a senior portfolio strategist, Adam worked with Goldman Sachs Principle Strategies, a proprietary hedge fund, and as a corporate strategist within Goldman Sachs Asset Management. Prior to joining Goldman Sachs, he was a consultant with The Law and Economic Consulting Group in Washington, D.C.

Mr. Hetts earned his bachelor of science in finance with a concentration in accounting from Pennsylvania State University. He holds the Chartered Financial Analyst designation and FINRA Series 24, 7, and 63 licenses. Mr. Hetts has 12 years of financial industry experience.

Jenna Barnard, CFA
Co-Head of Strategic Fixed Income, Portfolio Manager
Janus Henderson Investors

Jenna Barnard is Co-Head of Strategic Fixed Income at Janus Henderson Investors, a position she has held since 2012. She is also a Portfolio Manager on the Strategic Income and Global Dividend & Income strategies. Ms. Barnard joined Henderson in 2002 as a credit analyst and was promoted to portfolio manager in 2004. Prior to joining Henderson, she worked as an investment analyst with Orbitex Investments.

Ms. Barnard holds a first class BA (Hons) degree in politics, philosophy and economics from Oxford University. She holds the Chartered Financial Analyst designation, is a member of the Society of Technical Analysts and an Affiliate Member of the UK Society of Investment Professionals. Ms. Barnard has 16 years of financial industry experience.

Alex Crooke
Head of Global Equity Income, Portfolio Manager
Janus Henderson Investors

Alex Crooke is Head of Global Equity Income at Janus Henderson Investors, a position he has held as part of the Henderson team since 2013 when he was appointed to this role bringing together all equity-focused income teams within Henderson. Mr. Crooke was recruited by Henderson to co-manage the UK assets of an investment trust in 1994 as an associate director. He later became the Portfolio Manager responsible for a number of UK and European income orientated equity products. He manages several products at Janus Henderson and currently serves as a Portfolio Manager for the Global Equity Income and Global Dividend & Income strategies. Mr. Crooke began his investment career with Equitable Life Assurance Society in 1990 as a U.S. investment analyst.

Mr. Crooke holds a BSc (Hons) in physics and astrophysics from Manchester University and is an associate member of the Society of Investment Professionals. He has 27 years of financial industry experience.

Nick Maroutsos
Portfolio Manager
Janus Henderson Investors

Nick Maroutsos is a Portfolio Manager at Janus Henderson Investors, responsible for the Absolute Return Income strategy and Short Duration Income ETF (VNLA). Additionally, Mr. Maroutsos is a founder and managing director of Kapstream Capital, a Janus Henderson Investors subsidiary. Prior to forming Kapstream in 2006, he was with PIMCO from 1999 to 2005. From 2002 to 2005, Mr. Maroutsos was vice president at PIMCO in Australia, where he worked with key clients and managed the development and launch of new strategies for the Australian market. From 2001 to 2003, he was a senior portfolio analyst on the global trading team, managing the global fixed income portfolios and firm-wide global strategies. This entailed analyzing fixed income markets, the strategic implementation of all global portfolios, and portfolio construction. Mr. Maroutsos joined PIMCO’s Newport Beach, California, office in 1999. He is a sought-after expert on the global bond market and is a key speaker at industry forums and conferences. Mr. Maroutsos and his colleagues have received numerous industry accolades and recognition.

Mr. Maroutsos holds a bachelor of arts degree in economics from the University of California San Diego and an MBA from the Anderson School of Management at the University of California Los Angeles. He has 18 years of financial industry experience.


Title: Get Income. Go Global.
Date: Thursday, June 15, 2017
Time: 2:00 PM Eastern Daylight Time
Duration: 1 hour

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Investing involves market risk. Investment return and fund share value will fluctuate and it is possible to lose money by investing.

Foreign securities are subject to additional risks including currency fluctuations, political and economic uncertainty, increased volatility, lower liquidity and differing financial and information reporting standards, all of which are magnified in emerging markets.

Fixed income securities are subject to interest rate, inflation, credit and default risk. The bond market is volatile. As interest rates rise, bond prices usually fall, and vice versa. The return of principal is not guaranteed, and prices may decline if an issuer fails to make timely payments or its credit strength weakens.

The views are as of the date published and are subject to change. This material is provided for informational purposes only and may not be used or construed as investment advice or a recommendation to take any particular investment action. There is no guarantee that the information supplied is accurate, complete, or timely.

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