Viewpoints by Daniel S. Janis III, at Manulife Investment Management
Dan is head of global multi-sector fixed income at Manulife Investment Management. He’s a senior managing director, senior portfolio manager, and the lead portfolio manager for the company’s global multi-sector fixed-income strategies, responsible for asset allocation, global bond research, and currency 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. 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 International Capital Market Association.
- Education: A.B. in Economics, Harvard University
- Joined the company: 1999
- Began career: 1984
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How central bank emergency measures have obscured looming bond market risks
The economic and market turmoil caused by global lockdowns has required unprecedented responses from the world’s central banks. But those recent interventions have clouded looming bond market risks. We take a closer look at how investors can prepare for what’s next.
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