Fundamental, independent research has been at the core of the Janus Fixed Income process for more than 25 years. While many competitors rely on government statistics to form a top-down view, we focus first on company, issuer and security level fundamentals. We believe this approach differentiates us from our peers and other macroeconomic data providers. Our comprehensive, bottom-up view drives decision-making at the macro level, enabling us to make informed sector and risk allocation decisions.
Each quarter we share our global outlook and provide insights on emerging investment opportunities and risks.