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Janus Henderson Investors, commonly referred to as Janus Henderson, was formed in 2017 through the merger of two well-established firms: Janus Capital Group, founded in 1969, and Henderson Global Investors, established in 1934. This merger combined their strengths and expertise, creating a global asset manager with a rich heritage in investment management.
Janus Henderson operates as a publicly traded company under the symbol JHG on the New York Stock Exchange (NYSE). It is structured as a global asset management firm, providing a range of investment solutions to various client types, including individual, institutional, and intermediary investors.
The company is headquartered in London, United Kingdom, with additional offices in major financial centers around the world, including North America, Europe, and Asia-Pacific.
Janus Henderson manages approximately $378.7 billion in client assets as of December 31, 2024, and employs over 2,000 people globally. The firm offers a diverse range of investment strategies across various asset classes, including equities, fixed income, multi-asset, and alternatives.
Janus Henderson is subject to regulation by various financial authorities, including the U.S. Securities and Exchange Commission (SEC), the Financial Conduct Authority (FCA) in the UK, and other regulatory bodies in the jurisdictions where it operates.
Since its inception, Janus Henderson has expanded its business through strategic acquisitions and organic growth. The merger in 2017 was a significant step in creating a truly global platform, allowing the firm to leverage the strengths of both legacy companies.
Janus Henderson serves a diverse client base of over 60 million individuals and institutions worldwide. The firm has built strong relationships with clients based on trust, insight, and responsiveness, which has contributed to its growth in assets under management.
Janus Henderson has continuously evolved its investment platform to meet the changing needs of clients. This includes the development of proprietary technologies for portfolio construction and risk management, enabling investment teams to make informed decisions.
Janus Henderson has received numerous awards for its investment strategies and client service excellence. These recognitions reflect the firm's commitment to delivering superior financial outcomes for its clients.
Janus Henderson does not primarily focus on retail forex trading. Instead, its investment strategies include a variety of asset classes that may encompass currency exposure through its global equity and fixed income portfolios.
The firm offers a wide range of equity strategies, including growth, value, and absolute return styles. Investment teams employ fundamental research and bottom-up stock picking to identify compelling investment opportunities across various geographic markets.
While Janus Henderson does not directly offer Contracts for Difference (CFDs) to retail clients, it does provide investment solutions that may include derivatives within its broader investment strategies.
Janus Henderson's investment capabilities extend to various financial instruments, including:
Janus Henderson emphasizes its active management approach, which seeks to outperform passive strategies over market cycles. The firms investment teams are structured to analyze risk versus return potential actively, engage with companies extensively, and invest with conviction.
Janus Henderson is regulated by several key bodies, including:
The company's legal structure includes various subsidiaries and affiliated entities across regions, allowing it to operate in compliance with local regulations while providing investment services globally.
Janus Henderson adheres to strict client fund protection measures, ensuring that client assets are safeguarded according to regulatory requirements. This includes segregation of client funds and adherence to compliance standards.
Janus Henderson serves clients globally, with significant operations in North America (62% of AUM), EMEA (28%), and Asia-Pacific (10%). This geographic diversity allows the firm to offer tailored investment solutions to a wide range of clients.
The firm maintains a robust compliance framework to ensure adherence to regulatory requirements. It has a history of proactive engagement with regulators and a commitment to transparency and ethical conduct.
Janus Henderson competes with several prominent asset management firms, including:
Janus Henderson is positioned as a leading active asset manager, focusing on delivering differentiated insights and disciplined investment strategies. Its commitment to active management sets it apart from many competitors who may focus more on passive investment strategies.
Key factors that differentiate Janus Henderson in the market include:
In conclusion, Janus Henderson Investors stands out as a prominent global asset manager with a rich history, diverse investment capabilities, and a commitment to delivering superior financial outcomes for its clients. Through its active management approach and strong regulatory framework, the firm continues to evolve and adapt to the changing landscape of the investment management industry.
For more information and to learn more about Janus Henderson's offerings, visit their official website.
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