The Big Interview: Henderson Bond Team

THE BIG INTERVIEW

clock

For a team that has set its sights on being one of the top five fixed income managers in the UK, the Henderson bond team seems to be well and truly on the right path.

Under the head of retail fixed income John Pattullo, Henderson Global Investors manages seven retail bond funds with about £3bn under management. Pattullo and Jenna Barnard’s £858m Henderson Strategic Bond fund, one of the pioneering funds in the bourgeoning space, is the jewel in the group’s crown. Strong investor interest on the back of solid performance through the 2008 downturn has helped the vehicle grow from just £300m at the beginning of 2009. The addition of the former New Star funds just over a year ago has also added a new dynamic to the range, with the majority of the acqui...

To continue reading this article...

Join Investment Week for free

  • Unlimited access to real-time news, analysis and opinion from the investment industry, including the Sustainable Hub covering fund news from the ESG space
  • Get ahead of regulatory and technological changes affecting fund management
  • Important and breaking news stories selected by the editors delivered straight to your inbox each day
  • Weekly members-only newsletter with exclusive opinion pieces from leading industry experts
  • Be the first to hear about our extensive events schedule and awards programmes

Join now

 

Already an Investment Week
member?

Login

More on Bonds

Partner Insight: Spring statement leaves (head)room for improvement

Partner Insight: Spring statement leaves (head)room for improvement

Shamil Gohil, Fidelity International
clock 28 March 2025 • 4 min read
Treasury pushes ahead with digital gilt pilot using BoE's Sandbox

Treasury pushes ahead with digital gilt pilot using BoE's Sandbox

Digital version of government bonds

Eve Maddock-Jones
clock 19 March 2025 • 1 min read
Partner Insight: What do tariffs mean for bond investors?

Partner Insight: What do tariffs mean for bond investors?

A Trump presidency means many things. For bondholders, the key risk is the increased rates volatility through President Trump's tariffs and policy announcements via social media platforms. Against this backdrop, Fidelity fixed income managers Kris Atkinson and Shamil Gohil, highlight why they continue to find the best risk-adjusted opportunities in the front end of the Sterling credit curve and why they remain overweight this segment of the market in our all-maturity portfolios.

Kris Atkinson and Shamil Gohil, Fixed Income Portfolio Managers, Fidelity International
clock 11 March 2025 • 5 min read
Trustpilot