Janus Henderson Multi-Sector Income Fund is an actively managed mutual fund focused on generating high, current income with a secondary goal of long-term capital appreciation. It employs a flexible, multi-sector approach across U.S. and non-U.S. fixed income, investing in a broad mix of corporate credit, securitized assets such as mortgage- and asset-backed securities, and government-related bonds of varying credit quality, including below-investment-grade issues. The strategy emphasizes bottom-up, fundamental research and dynamic allocation to pursue attractive risk-adjusted returns while targeting lower volatility than a dedicated high-yield mandate. The portfolio is managed by a seasoned team with complementary expertise spanning high yield, investment grade, and securitized markets, and often allocates a meaningful share to below-investment-grade bonds to enhance income potential. Within the multisector bond category, the fund’s role is to provide diversified fixed-income exposure that blends credit, securitized, and rate-sensitive assets, aiming to deliver consistent income and balance across market cycles.
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