Janus Henderson’s latest whitepaper explores how global corporate credit markets can enhance portfolio returns and defensive characteristics in a diverging macroeconomic environment.
Key Insights:
- Global Credit Advantage: Expanding beyond domestic markets allows investors to capture attractive risk-adjusted returns and benefit from market-specific pricing inefficiencies.
- Sector & Regional Diversification: Well-managed credit issuers can be found worldwide, offering yield enhancement without sacrificing quality.
- Currency Risk Management: Hedging foreign exchange exposure can improve portfolio stability.
Access the full report for strategic portfolio positioning and detailed credit market analysis.
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