Viewpoints by Daniel S. Janis III, at Manulife Investment Management

Dan is the co-leader of the company’s global multi-sector fixed-income strategies, responsible for portfolio management, global sovereign debt, portfolio construction, and currency and risk management. His areas of expertise include global economics, foreign exchange, derivatives, and risk management. Prior to joining the company, Dan was a vice president and proprietary risk manager for BankBoston and, earlier in his career, he worked as a vice president for Morgan Stanley in the foreign exchange department and managed their forward desk. Dan holds certification from the Association of International Bond Dealers.
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Revisiting global multi-sector fixed income in a postpandemic world
The critical challenge fixed-income investors face today is to find stable returns amid high inflation and rising yields—without taking on excessive volatility or risk. We explore some ways to do so.
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