Podcasts about doubleline

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Best podcasts about doubleline

Latest podcast episodes about doubleline

Bloomberg Daybreak: Asia Edition
Stocks Fall, Oil Climbs as Mideast Unrest Deepens, Fed Decision Preview

Bloomberg Daybreak: Asia Edition

Play Episode Listen Later Jun 18, 2025 26:23 Transcription Available


Oil climbed and most stocks in Asia followed losses on Wall Street as concerns mounted that an escalation of tensions in the Middle East will trigger a more direct US involvement. West Texas Intermediate crude rose as much as 1.1% in early trading Wednesday after settling at the highest in almost five months the previous day. US equity futures slipped, as did Australia’s benchmark index and Hong Kong futures.Staying with geopolitics, The White House's review of the Aukus pact — a security arrangement between the US, UK and Australia — is rattling one of Washington’s closest alliances, and playing right into China’s hands. It sends yet another signal that America First might just mean everyone else alone. First announced by former President Joe Biden in 2021, the multibillion-dollar deal commits Washington and London to help Canberra develop a fleet of nuclear-powered submarines over a 30-year period. It was designed to help counter Beijing’s growing influence in the Indo-Pacific. For more, we turn to Bloomberg Opinion columnist Karishma Vaswani. Plus - Federal Reserve officials are widely expected to leave interest rates unchanged for a fourth straight meeting on Wednesday, reiterating they want more clarity on the economic impact of a wide array of government policy changes before adjusting borrowing costs. Policymakers have warned President Donald Trump’s tariffs could boost inflation and unemployment, but so far, steady hiring and cooling inflation have allowed Fed officials to keep rates unchanged this year. We speak to Bill Campbell, Global Bond Portfolio Manager at DoubleLine.See omnystudio.com/listener for privacy information.

Bloomberg Talks
DoubleLine CEO Jeffrey Gundlach Talks US Treasuries

Bloomberg Talks

Play Episode Listen Later Jun 11, 2025 27:20 Transcription Available


America’s debt burden and interest expense have become “untenable,” and that means long-term US Treasury bonds are no longer seen as legitimate risk-free investments, said DoubleLine Capital’s Jeffrey Gundlach. He is joined by Bloomberg's Lisa Abramowicz.See omnystudio.com/listener for privacy information.

MKT Call
Stocks Start June In The Green

MKT Call

Play Episode Listen Later Jun 2, 2025 6:53


MRKT Matrix - Monday, June 2nd S&P 500 ticks higher to start June trading as investors look past rising global trade tensions (CNBC) Buyers' Strike Rocks US Long Bond as DoubleLine, Pimco Stay Away (Bloomberg) JPMorgan Strategists Warn US Stock Rally at Risk From Stagflation (Bloomberg) Wall Street Sees Deeper Dollar Rout as Currency Nears 2023 Low (Bloomberg) China Accuses US of Violating Trade Deal, Vows Firm Response (Bloomberg) Meta Aims to Fully Automate Ad Creation Using AI (WSJ) Why Nvidia Can't Just Quit China (WSJ) Apple's China rival Xiaomi still has major upside, analysts say, even after record earnings (CNBC) --- Subscribe to our newsletter: ⁠https://riskreversalmedia.beehiiv.com/subscribe⁠ MRKT Matrix by RiskReversal Media is a daily AI powered podcast bringing you the top stories moving financial markets Story curation by RiskReversal, scripts by Perplexity Pro, voice by ElevenLabs

CNBC’s “Money Movers”
China Counters Trump's Trade Accusations, Marriott CEO on Travel Demand, Cracks Emerging in the Bond Market? 6/2/25

CNBC’s “Money Movers”

Play Episode Listen Later Jun 2, 2025 42:10


China pushes back against U.S. accusations that it violated parts of the Geneva trade agreement. Sources tell CNBC talks between the two countries' leaders could take place as soon as this week. Then CEO of Marriott breaks down the outlook for travel as demand concerns grow amid a global trade war. Plus Jamie Dimon warns about cracks in the bond market. Doubleline's Deputy CIO lays out how investors should be positioned.

Power Your Advice
Episode 266 – The Untapped Power of ABS in a Modern Portfolio with Andrew Hsu

Power Your Advice

Play Episode Listen Later May 19, 2025 21:12


Today we talk with Andrew Hsu, founding member and Portfolio Manager at DoubleLine, about their new ETF: DABS, an ETF focused exclusively on asset-backed securities (ABS). Andrew explains why ABS are gaining attention beyond institutional investors, citing their low correlation, strong yields, and resilience. He breaks down what ABS are, how they differ from other … Continue reading Episode 266 – The Untapped Power of ABS in a Modern Portfolio with Andrew Hsu →

UBS On-Air
Fixed Income Conversation Corner with Jeffrey Sherman (DoubleLine) and Leslie Falconio (UBS CIO)

UBS On-Air

Play Episode Listen Later May 12, 2025 36:39


Our conversation outlines the current landscape for fixed income investors and where to locate opportunity within the asset class. We also discuss the road ahead for monetary policy, the economy and the broader markets, against the backdrop of US trade policy uncertainty. Featured are Leslie Falconio, Head of Taxable Fixed Income Strategy Americas, UBS Chief Investment Office, and Jeffrey Sherman, Deputy Chief Investment Officer, DoubleLine Capital. Host: Daniel Cassidy

Bloomberg Daybreak: Asia Edition
What's Driving Volatility in Chinese Tech Stocks?

Bloomberg Daybreak: Asia Edition

Play Episode Listen Later Mar 26, 2025 20:57 Transcription Available


On today's episode, we dissect the forces driving volatility in Chinese tech stocks. Despite the recent pullback in Chinese equities, some Wall Street investors remain bullish. Morgan Stanley strategists raised their 2025 year-end index targets for Chinese stock indexes, after seeing signs of fourth-quarter earnings beats. Similarly, strategists at Goldman Sachs expect more fundamental upside to the recent rally as more positive earnings revisions should be coming. We speak with Shuli Ren of Bloomberg Opinion for a closer look. Plus - Asian stocks posted modest gains on Wednesday as investors searched for a clear direction amid weaker US consumer confidence, tariff uncertainty and a late rally in US equities. We get some insights on the American economy from Bill Campbell, Global Bond Portfolio Manager at DoubleLine.See omnystudio.com/listener for privacy information.

UBS On-Air
Fixed Income Conversation Corner with Ken Shinoda (DoubleLine) & Leslie Falconio (UBS CIO)

UBS On-Air

Play Episode Listen Later Jan 16, 2025 25:46


Our first conversation of the year begins with thoughts around the recent rise in yields, along with where pockets of vulnerability and opportunity exist within fixed income as we enter 2025. Leslie and Ken also spend time sharing their overall outlooks, along with views when it comes to monetary policy, and positioning across the asset class. Featured is Ken Shinoda, Portfolio Manager for RMBS at DoubleLine Capital, and Leslie Falconio, Head of Taxable Fixed Income Strategy Americas with the UBS Chief Investment Office. Host: Daniel Cassidy

UBS On-Air
Talking Markets with Jeffrey Gundlach, Founder, DoubleLine Capital

UBS On-Air

Play Episode Listen Later Sep 25, 2024 27:20


A fireside chat which covers the current market and macro environment, including thoughts around the US economy, the Fed, the upcoming US election, and positioning across fixed income and real estate. Featured is Jeffrey Gundlach, Chief Executive Officer, Chief Investment Officer and Founder of DoubleLine Capital. Host: Daniel Cassidy

Closing Bell
Closing Bell: Fed Cuts Rates by 50 Basis Points 9/18/24

Closing Bell

Play Episode Listen Later Sep 18, 2024 36:29


The Federal Reserve cut rates by 50 basis points today … and stocks fell in response. DoubleLine's Jeffrey Gundlach gives his first take on what this could mean for the economy and your money. Plus, expert analysis from Senior Markets Commentator Mike Santoli. 

Closing Bell
Closing Bell: Countdown to Critical Fed Decision 9/17/24

Closing Bell

Play Episode Listen Later Sep 17, 2024 43:20


What should investors make of either a half or quarter point rate cut tomorrow? And where does that leave a market that seems priced for a soft economic landing? Rockefeller's Cheryl Young, Sofi's Liz Young Thomas and CIC Wealth's Malcolm Ethridge break down their forecasts. Plus, DoubleLine's Jeffrey Gundlach sits down with Scott Wapner one day before the Fed decision with his rate cut prediction. And, the Conoco Phillips CEO weighs in on oil prices and the broader energy sector. 

CNBC’s “Money Movers”
Nvidia earnings, Yelp sues Google & Doubleline's Deputy CIO 8/29/24

CNBC’s “Money Movers”

Play Episode Listen Later Aug 29, 2024 41:58


Wilfred Frost and Deirdre Bosa tackle today's biggest Money Movers from the floor of the New York Stock Exchange. 

UBS On-Air
How should I be positioned? with Jeffrey Sherman (DoubleLine) and Jason Draho (UBS CIO)

UBS On-Air

Play Episode Listen Later Aug 8, 2024 36:30


In the wake of the recent episode of global market volatility, Jeffrey rejoins Jason on the podcast to exchange views on the volatility drivers, an outlook for the markets, the health of the US economy, and the direction of monetary policy. Plus, we spend time sharing thoughts when it comes to portfolio positioning. Featured is Jason Draho, Head of Asset Allocation Americas with the UBS Chief Investment Office, and Jeffrey Sherman, Deputy Chief Investment Officer, and Portfolio Manager with DoubleLine Capital. Host: Daniel Cassidy

CNBC’s “Money Movers”
Morgan Stanley's Sherry Paul, Doubleline's Jeff Sherman & Blue Ocean CEO 8/7/24

CNBC’s “Money Movers”

Play Episode Listen Later Aug 7, 2024 42:14


Seema Mody and Mike Santoli tackle today's biggest Money Movers from the floor of the New York Stock Exchange. 

UBS On-Air
A Conversation with Solita Marcelli and Jeffrey Gundlach

UBS On-Air

Play Episode Listen Later May 24, 2024 52:25


Solita Marcelli, CIO Americas of UBS, along with Jeffery Gundlach CEO of DoubleLine, share valuable insights and perspectives on the current investment landscape.

Monday Morning Minutes
FOMC Fedspeak: Hawkish or Dovish? (E158)

Monday Morning Minutes

Play Episode Listen Later Mar 22, 2024 37:28


For the market week ended March 22, 2024, DoubleLine's Samuel Lau and Mark Kimbrough recap a mostly positive week for equities (2:39) and fixed income (4:03) while commodities dipped (6:43). For the Topic of the Week (13:20), Sam and Mark ... Read More

Monday Morning Minutes
Moment of Capitulation on the LEI (E154)

Monday Morning Minutes

Play Episode Listen Later Feb 23, 2024 29:00


After covering the markets for the holiday-shortened week of Feb. 20-24, mostly positive for stocks (00:18) and bonds (1:52) and mostly negative for commodities (3:30), DoubleLine's Jeffrey Mayberry and Mark Kimbrough run down a relatively light week of macro news (5:13), including resilient employment numbers and S&P Global U.S. PMI prints in expansionary territory. For their Topic of the Week (11:57), Jeff and Mark look at the recent LEI* release and the way the publisher, the Conference Board, has changed its approach to LEI data that takes the pressure off a bellwether metric that has been pointing toward a recession in the U.S. since July 2022, when it turned negative year-over-year. They go through the 10 inputs that comprise the index and their weightings, and how the Conference Board now does not forecast a recession for 2024. Jeff and Mark discuss this shift in approach, which Mark terms a moment of capitulation on the LEI. Looking ahead to next week (20:41), Jeff and Mark preview some of the upcoming prints, including durable goods; home prices; consumer confidence; and the PCE, the Fed's favorite inflation metric. *For more on the Conference Board Leading Economic Index, check out Episode 29: Recapping Markets/Macro and Eyeballing the LEI

CNBC’s “Money Movers”
Capital One buys Discover, Deutsche doubles down on airlines & Doubleline Co-CIO 2/20/24

CNBC’s “Money Movers”

Play Episode Listen Later Feb 20, 2024 43:21


Jon Fortt and Leslie Picker tackle today's biggest Money Movers from the floor of the New York Stock Exchange. 

Squawk Box Europe Express
SQUAWK BOX, WEDNESDAY 14TH FEBRUARY, 2024

Squawk Box Europe Express

Play Episode Listen Later Feb 14, 2024 26:29


U.S. inflation for January disappointed, coming in at more than 3 per cent on an annual basis dashing any hopes of an imminent Federal Reserve rate cut. The markets reacted with the Dow posting its worst session since last March and Treasury yields spiked. DoubleLine CEO Jeffrey Gundlach told our colleagues Stateside that markets had vastly overestimated this year's rate path. Ride-hailing app Lyft sees shares soar by 60 per cent in extended trade but then paring back sharply after management admitted to an accidental extra ‘zero' to its margin growth number. And in tech news, Nvidia overtakes Amazon in terms of market cap valuation on the back of the A.I. boom. The chip giant now has Alphabet in its sights which would make it the third-largest firm on Wall Street.See Privacy Policy at https://art19.com/privacy and California Privacy Notice at https://art19.com/privacy#do-not-sell-my-info.

Closing Bell
Closing Bell: Stocks Sell Off on Hotter-Than-Expected Inflation Report 2/13/24

Closing Bell

Play Episode Listen Later Feb 13, 2024 59:57


Stock sunk in today's session following some key inflation data. DoubleLine's Jeffrey Gundlach reacts to that big move and breaks down what he's forecasting for the months ahead. Plus, Sofi's Liz Young and New York Life Investments' Lauren Goodwin explain how they're navigating the uncertainty. And, we dig into the big moves in financials, utilities and energy amid the broad sell off.

CLS's The Weighing Machine
The Goldilocks Economy: How Long Can it Last with Jeff Sherman of DoubleLine Capital

CLS's The Weighing Machine

Play Episode Listen Later Feb 13, 2024 62:16


As DoubleLine's Deputy Chief Investment Officer, Jeffrey Sherman oversees and administers DoubleLine's Investment Management sub-committee coordinating and implementing policies and processes across the investment teams. He also serves as lead portfolio manager for multi-sector and derivative-based strategies. Mr. Sherman is a member of DoubleLine's Executive Management and Fixed Income Asset Allocation Committees. He can be heard regularly on his podcast “The Sherman Show” (Twitter @ShermanShowPod, ShermanShow@Doubleline.com) where he interviews distinguished guests, giving listeners insight into DoubleLine's current views. In 2018, Money Management Executive named Jeffrey Sherman as one of “10 Fund Managers to Watch” in its yearly special report. Prior to joining DoubleLine in 2009, Mr. Sherman was a Senior Vice President at TCW where he worked as a portfolio manager and quantitative analyst focused on fixed income and real-asset portfolios. He was a statistics and mathematics instructor at both the University of the Pacific and Florida State University. Mr. Sherman taught Quantitative Methods for Level I candidates in the CFA LA/USC Review Program for many years. He holds a B.S. in Applied Mathematics from the University of the Pacific and an M.S. in Financial Engineering from the Claremont Graduate University. Mr. Sherman is a CFA® charterholder.Key Takeaways[3:45] - Jeff's professional background and career highlights.[07:06] - Jeff helped found DoubleLine in 2009 – what were some of the joys and challenges they faced while starting the company and what sets them apart as a firm?[10:20] - How long might the Goldilocks economy be able to last?[14:22] - What is DoubleLine's view on inflation and how might this impact what The Fed does and longer term interest rates?[20:55] - Why not just buy treasury bills and chill?[23:45] - How should investors be thinking about the upcoming presidential election and how might they be better prepared for the outcome?[26:05] - How concerned is Jeff about the deficit and what might it mean for the economy and the markets?[29:50] - How should investors be thinking about their fixed income allocations?[35:30] - Jeff's current thoughts on the dollar and also investing overseas.[38:25] - Jeff's thoughts on fixed income ETFs and the future of the ETF industry in general.[41:35] - How might the Bitcoin ETFs affect the ETF industry and Bitcoin itself?[44:32] - How have skill sets needed to change, if at all, for new people entering the industry?[49:56] - Jeffs's favorite investment idea for 2024.Quotes[12:25] - “So, when I look at the economy right now, it's hard to see it being derailed without the labor market. Now, are there signs of cracks in the economy? Absolutely, we can talk about that, but ultimately I think that the recession at this stage has been delayed a bit." ~ Jeff Sherman[25:08] - “From our standpoint, we don't see a lot of election risk in markets unless it's some exogenous policy that we can't see at this point, and by definition, you can't play for that. So, are you going to give up on the market just because you think your party isn't going to win the election?" ~ Jeff ShermanLinksJeff Sherman on LinkedInDoubleLine“Real American” by Rick DerringerA Real American Music VideoDoubleLine Round TableConnect with UsMeet Rusty Vanneman, Orion's Chief Investment OfficerCheck Out All of Orion's PodcastsPower Your Growth with OrionCompliance Code: 0306-OPS-2/8/2024Disclosure(s) ~ Orion Portfolio Solutions, LLC, an Orion Company, is a registered investment advisor.

Monday Morning Minutes
Federal Debt Spiral and Bond Vigilantes (E152)

Monday Morning Minutes

Play Episode Listen Later Feb 9, 2024 28:26


DoubleLine's Jeff Mayberry and Eric Dhall review the market week (1:00) ended Feb. 9, 2024, including a new all-time high carrying the S&P 500 to close above 5000 for the first time, yields up across the investment grade segments of the fixed income universe and a higher week for the Bloomberg Commodity Index, although accompanied by a decline in industrial metals. Macro news for the week (4:39) includes a strong ISM Services report but in general tighter financial conditions indicated in the Federal Reserve's Senior Loan Officer Opinion Survey of Bank Lending Practices. For their Topic of the Week (11:21), Jeff and Eric discuss the U.S. Treasury's quarterly refunding announcement in the context of an explosion of the national debt to $34.2 trillion – a pace of debt growth that on Feb. 7 drew a warning from the Congressional Budget Office. Falling Treasury purchases by foreign governments, Jeff Maberry notes, means yield-sensitive investors such as insurers account for a larger share of Uncle Sam's creditors. Their bond vigilantism means more upward pressure on interest rates. Looking ahead to the week of Feb. 12-16, Jeff and Eric single out (21:27) above all the January print of consumer price index, due Tuesday Feb. 13. They will also be on the lookout for retail sales, import prices and jobless claims (Thursday) and housing starts and the January producer price index (Friday).

The Julia La Roche Show
#140 DoubleLine Capital's Jeff Sherman On Fed Policy, The Economy, And Why Rate Cuts Likely Won't Happen Until June Or Later

The Julia La Roche Show

Play Episode Listen Later Feb 1, 2024 43:11


Jeff Sherman, Deputy CIO of DoubleLine Capital, joins The Julia La Roche Show for episode 140 to break down the first FOMC meeting of 2024 and his outlook for the economy and the markets, inflation, and more. Takeaways The FOMC meeting indicated that interest rate cuts may be on the horizon, but the timing and extent of the cuts are uncertain. Positive real yields in the bond market offer attractive investment opportunities, especially compared to the volatility of the equity market. The current economic outlook is relatively positive, but there are risks to consider, such as potential inflation and the impact of interest rate policy. Investors should be cautious and evaluate the risks associated with their investments, considering factors such as inflation, market volatility, and the potential for economic downturns. Timestamps:  00:00 Introduction and welcome 01:00 FOMC meeting reaction 05:27 QT   11:20 Positive real yield investment opportunities  14:50 Stocks vs. bonds  20:00 Economic outlook  30:00 Value threshold is higher  32:30 Inflation 39:00 Risks Links:  Twitter/X: https://twitter.com/DLineCap and https://twitter.com/ShermanShowPod DoubleLine Capital: https://doubleline.com/ Podcast: doubleline.com/podcasts/

Talking Data
DoubleLine Capital Round Table Prime 2024: Audience Q&A

Talking Data

Play Episode Listen Later Jan 31, 2024 15:31


DoubleLine's 2024 Round Table Prime was hosted in front of a live audience for the first time. After panelists presented their best ideas for 2024, the audience Q&A sparked candid debate ranging from commercial real estate, geopolitics, elections, corporate debt and budget negotiations. (00:06) Bank Term Funding Program (02:01) What Upsets the Applecart? (03:49) Bank Excess Reserves (06:00) Corporate Debt

Talking Data
DoubleLine Capital Round Table Prime 2024: Part 2 - Market Outlook

Talking Data

Play Episode Listen Later Jan 22, 2024 46:03


Jim's Comment: 5:02 Stock-Pickers Market/Opportunities in a Rising Rates Environment During the markets segment of its 2024 edition, participants in DoubleLine Round Table Prime present their outlooks on various markets and topics for 2024. Coming together for Round Table Prime are DoubleLine CEO Jeffrey Gundlach and moderator DoubleLine Deputy Chief Investment Officer Jeffrey Sherman with their guests James Bianco, President and Macro Strategist at Bianco Research; Danielle DiMartino Booth, CEO of Quill Intelligence; Charles Payne, author and Fox Business Anchor; and David Rosenberg, President of economic consulting firm Rosenberg Research & Associates. Round Table Prime was held Jan. 11, 2024. (00:29) Charles Payne discusses the state of the IPO pipeline heading into 2024 and how that pipeline has punished investors for 15, 20 years. He also shares his Word of the Year for stock investors: nimble. (5:06) Jim Bianco says the art of stock picking is very much alive, breaks down “a multi-year bear market in bonds,” talks the resilience of the U.S. dollar as a reserve currency, and discusses China's slow recovery and its impact on commodities. (10:44) Jeffrey Gundlach looks at valuations and price-to-earnings since the November start of the Everything Rally then talks about how a secular shift from a long period of declining interest rates to a period of rising interest rates will impact participants' and prognosticators' understanding of the markets. He also discusses the potential economic backdrop that would have him looking at EM and lower tiers of credit, and he shares why he has put money in India and doesn't even look at it. He closes with his thoughts on mortgage spreads, high yield bond defaults and TIPS. (25:18) David Rosenberg talks about how the CPI is a flawed statistic, the S&P 500's flat two-year performance with no improvement in valuations, how there's so much psychology involved in the stock market, the equity risk premium, and how the soft landing is real and how historically it has served as a precursor to contraction. He also shares his thoughts on positioning and the outlook for several countries, including Japan and Canada. (42:08) The markets section concludes with Danielle DiMartino Booth discussing private markets juxtaposed against public markets and the impact of public pension funds flowing into private equity a few years ago, and speculating on who will be living in Illinois if Indiana gets rid of its state income tax.

Talking Data
DoubleLine Capital Round Table Prime 2024: Part 3 - Best Ideas

Talking Data

Play Episode Listen Later Jan 22, 2024 12:59


Jim's Comment: 6:28 Best Idea for 2024 Participants in DoubleLine Round Table Prime 2024 share their best trading and investment ideas for 2024. Coming together for Round Table Prime are DoubleLine CEO Jeffrey Gundlach and moderator DoubleLine Deputy Chief Investment Officer Jeffrey Sherman with their guests James Bianco, President and Macro Strategist at Bianco Research; Danielle DiMartino Booth, CEO of Quill Intelligence; Charles Payne, author and Fox Business Anchor; and David Rosenberg, President of economic consulting firm Rosenberg Research & Associates. Round Table Prime was held Jan. 11, 2024.

Talking Data
DoubleLine Capital Round Table Prime 2024: Jim Bianco

Talking Data

Play Episode Listen Later Jan 22, 2024 18:57


Timestamps: 0:00 View on Inflation 7:57 The Solution to Federal Government Spending 11:20 Stock-Pickers Market/Opportunities in a Rising Rates Environment 17:01 Best Idea for 2024 Coming together for Round Table Prime are DoubleLine CEO Jeffrey Gundlach and moderator DoubleLine Deputy Chief Investment Officer Jeffrey Sherman with their guests James Bianco, President and Macro Strategist at Bianco Research; Danielle DiMartino Booth, CEO of Quill Intelligence; Charles Payne, author and Fox Business Anchor; and David Rosenberg, President of economic consulting firm Rosenberg Research & Associates. Round Table Prime was held Jan. 11, 2024.

Talking Data
DoubleLine Capital Round Table Prime 2024: Part 1 - Macro

Talking Data

Play Episode Listen Later Jan 19, 2024 70:12


Jim's Timestamps: 27:28 Jim's view on Inflation. 1:06:26 The solution to Federal Government Spending. During the macroeconomic segment of its 2024 edition, participants in DoubleLine Round Table Prime among other issues debate the seeming failure of the most telegraphed recession in history to materialize in 2023, the intersection of Federal Reserve policy with a presidential election year and deep changes in the economy post-2020. Coming together for Round Table Prime are DoubleLine CEO Jeffrey Gundlach and moderator DoubleLine Deputy Chief Investment Officer Jeffrey Sherman with their guests James Bianco, President and Macro Strategist at Bianco Research; Danielle DiMartino Booth, CEO of Quill Intelligence; Charles Payne, author and Fox Business Anchor; and David Rosenberg, President of economic consulting firm Rosenberg Research & Associates. Round Table Prime was held Jan. 11, 2024. Topics include: (1:08) How the U.S. avoided recession despite numerous recessionary indicators and evidence the U.S. economy is far more downbeat than some widely followed economic statistics would indicate. (10:57) The condition of consumer and household financial conditions and the rapid rise of consumer borrowing delinquencies. (15:50) Possible factors behind the protracted length of the current cycle, including money supply as measured by M2, and as Charles Payne points out (27:58), the velocity of money. (30:45) Post-2020 transformations of the economy, the biggest, Jim Bianco notes, being remote work and acceleration of deglobalization, with important implications for inflation. (35:52) Federal Reserve monetary policy, including Fed Chair Jerome H. Powell's dovish pivot Dec. 13, which Danielle DiMartino Booth thinks was timed “to get in front of the Iowa caucuses.” (45:50) The probability of recession in 2024. (50:11) Jeffrey Gundlach's warning about the combination of the federal government running large deficits (even amid low unemployment), funded by debt, amid rising interest rates, and his outlook on the inevitability of a restructuring of the federal debt and the unfunded liabilities of American entitlement programs.

Bloomberg Talks
DoubleLine Capital's Jeffrey Sherman Talks Bonds

Bloomberg Talks

Play Episode Listen Later Jan 4, 2024 9:57 Transcription Available


DoubleLine Capital Deputy Chief Investment Officer Jeffrey Sherman discusses how the year is kicking off for the bond market, new risks and the state of the labor market. He speaks with Bloomberg's Romaine Bostick and Scarlet Fu.  See omnystudio.com/listener for privacy information.

Closing Bell
Bond King Gundlach Reacts to Powell's Presser 12/13/23

Closing Bell

Play Episode Listen Later Dec 13, 2023 41:29


Fed Chair Jay Powell held his final meeting and news conference of the year. DoubleLine's Jeffrey Gundlach gives his first and exclusive reaction. He breaks down he sees rates headed from here and what it might mean for the economy. Plus, Ritholtz Wealth Management's Josh Brown, Sofi's Liz Young and Senior Market Commentator Mike Santoli break down the final minutes of the trading day as the Dow closes at an all-time record high. 

DoubleLine
TSS Episode 148: Andy Constan on Macro-Driven Investing, Inflation and the 3Ds of De-Globalization

DoubleLine

Play Episode Listen Later Nov 30, 2023 55:23


Andy Constan, founder, CEO and Chief Investment Officer of Damped Spring, joins DoubleLine's Jeffrey Sherman and Samuel Lau to discuss his approach to macroeconomics-driven investing. They also discuss, among other timely topics, Mr. Constan's outlook for persistent inflation above the ... Read More

Closing Bell
Closing Bell: DoubleLine's Jeffrey Gundlach on the Fed Decision 11/1/23

Closing Bell

Play Episode Listen Later Nov 1, 2023 38:15


Bond King Jeffrey Gundlach gives his first, exclusive reaction to the Fed and Jay Powell's press conference. Plus, he explains why he believes we have started a bond rally. Plus, Ritholtz Wealth Management's Josh Brown breaks down Gundlach's big market calls. And, Qualcomm results are set to be released after the bell. We have a rundown of what to watch when those numbers hit.

DoubleLine
TSS Episode 147: DoubleLine's Scott Thomson on the Evolution of ETFs

DoubleLine

Play Episode Listen Later Oct 26, 2023 51:57


DoubleLine ETF Specialist Scott Thomson discusses his role at the firm and describes the growing use and evolution of exchange-traded funds as vehicles for trading and investment with DoubleLine Deputy Chief Investment Officer Jeffrey Sherman and Macro Asset Allocation ... Read More

DoubleLine
TSS Episode 146: SoFi's Liz Young on Markets, DIY Investing and Capturing Gen Z Investors

DoubleLine

Play Episode Listen Later Sep 28, 2023 46:26


Liz Young, head of investment strategy at personal finance company and bank SoFi, discusses markets, the investor movement to DIY investing, and her investment process and market outlook with DoubleLine's Jeffrey Sherman and Samuel Lau in this episode recorded Sept. ... Read More

UBS On-Air
Talking Markets with Jeffrey Gundlach, Founder, DoubleLine Capital

UBS On-Air

Play Episode Listen Later Sep 25, 2023 31:51


A fireside chat on the current market and macro environment, including thoughts around asset allocation with Jeffrey Gundlach, the Chief Executive Officer, Chief Investment Officer and Founder of DoubleLine Capital. Host: Daniel Cassidy

UBS On-Air
Fixed Income Conversation Corner with Robert Cohen (DoubleLine) and Leslie Falconio (UBS CIO)

UBS On-Air

Play Episode Listen Later Sep 22, 2023 25:22


Our conversation outlines the current landscape for fixed income investors and where to locate opportunity within the asset class. We also discuss the road ahead for monetary policy, the economy and credit markets. Featured are Leslie Falconio, Head of Taxable Fixed Income Strategy Americas, UBS Chief Investment Office, and Robert Cohen, Global Head of Developed Credit, DoubleLine Capital. Host: Daniel Cassidy

Closing Bell
Closing Bell: Fed Pauses on Decision Day 9/20/23

Closing Bell

Play Episode Listen Later Sep 20, 2023 32:41


Fed Chair Jay Powell held his news conference after the decision to keep rates unchanged. DoubleLine's Jeffrey Gundlach gives his exclusive reaction. Plus, Sofi's Liz Young and market expert Mike Santoli weigh in on the market reaction to that decision and Gundlach's big call on rates. And, we break down the key metrics to watch when FedEx reports after the bell. 

Closing Bell
Closing Bell: Big Tech Put to the Test 9/12/23

Closing Bell

Play Episode Listen Later Sep 12, 2023 42:52


Big tech market leadership is being put to the test with Apple shares in the red with the iPhone 15 launch event underway and Oracle's disappointing outlook dragging on the key software names. CNBC's Steve Kovach breaks down all the big headlines from Apple's big event. Plus, DoubleLine's Jeffrey Gundlach speaks to Scott Wapner at the Future Proof conference. His take on the fed, potential recession and more.

Monday Morning Minutes
MMM Episode 130: Fed Chair Powell Says Higher for Longer

Monday Morning Minutes

Play Episode Listen Later Aug 25, 2023 25:12


DoubleLine's Jeffrey Mayberry and Samuel Lau recap the market week of Aug. 21-25, which continued to mark a red monthly run for the S&P 500 (up more than 15% year-to-date (YTD)) (00:43). They also run down fixed income, where the Agg held on to its positive YTD performance (3:05); commodities had a green week except for energy (6:24); and Bitcoin was flat on the week but still up 56% YTD (8:03). Over in Macro Land (8:52), a light week of prints left more room for Fedspeak coverage of Federal Reserve Chair Jerome H. Powell's speech at the Jackson Hole Symposium (11:30). Jeff and Sam note the Fed's stance of higher for longer remains in effect while also discussing some comedic and poetic moments courtesy of the Fed chief. Next week, August will close out with a slew of data releases (18:03), including home prices, the ADP employment report, the PCE deflator and the ISM Manufacturing PMI. This episode was recorded Aug. 25 before market close.

Closing Bell
Closing Bell: Gundlach reacts to Fed's Rate Hike 7/26/23

Closing Bell

Play Episode Listen Later Jul 26, 2023 36:34


The fed raised rates another 25 basis points – the fed's 11th since this all began a little more than a year ago. DoubleLine's Jeffrey Gundlach gives his first reaction. Plus, New Edge's Cameron Dawson weighs in on the fed decision and what it could mean for the markets. And, a break down of what to watch when Meta and Chipotle report after the bell. 

DoubleLine
TSS Episode 143: Mayberry's Midyear Score Card and 2H2023 Outlook

DoubleLine

Play Episode Listen Later Jul 14, 2023 68:58


Jeff Mayberry, Portfolio Manager on DoubleLine's Macro Asset Allocation team, on July 10, gets graded by Jeffrey Sherman and Samuel Lau on his forecasts for 1H2023 and shares his outlooks for the second half of the year. Jeff Mayberry gets ... Read More

DoubleLine
TSS Episode 142: Robert Cohen on Credit Selection and the Coming Default Cycle

DoubleLine

Play Episode Listen Later Jun 22, 2023 49:51


Robert Cohen, head of DoubleLine's Global Developed Credit team, discusses navigating the waters of investment grade and high yield corporate bonds and leveraged loans as these markets enter the late stage of the economic and credit cycles. He speaks June ... Read More

Closing Bell
Closing Bell: Gundlach on the Fed Decision 6/14/23

Closing Bell

Play Episode Listen Later Jun 14, 2023 40:44


DoubleLine's Jeffrey Gundlach reacts to Fed Chair Powell's news conference after the fed left rates unchanged. He gives his forecast for the rest of the year. Plus, NewEdge's Cameron Dawson and CNBC senior markets correspondent Bob Pisani break down the crucial final moments of post-fed decision trade. 

DoubleLine
TSS Episode 139: J.P. Morgan's Michael Feroli on the Fed's One Tool, the Separation Principle, Immaculate Disinflation, and the Magic Regressor

DoubleLine

Play Episode Listen Later May 11, 2023 58:56


DoubleLine Deputy Chief Investment Officer Jeffrey Sherman and Portfolio Manager Samuel Lau welcome J.P. Morgan Chief U.S. Economist Michael Feroli to The Sherman Show. Mr. Feroli kicks the episode off by recounting his educational transition from philosophy to finance and ... Read More

DoubleLine
TSS Episode 138: Morris Chen on Opportunities in Commercial Real Estate Debt

DoubleLine

Play Episode Listen Later Apr 27, 2023 54:27


Morris Chen, head of DoubleLine's Commercial Mortgage-Backed Securities (CMBS) and Commercial Real Estate Debt (CRE) team, on April 18, 2023, discusses the merits of his asset class with hosts Jeffrey Sherman and Samuel Lau. He describes CMBS-CRE both as a ... Read More

DoubleLine
TSS Episode 137: Ken Shinoda on Mortgage Investing and the Housing Market

DoubleLine

Play Episode Listen Later Apr 13, 2023 46:46


Ken Shinoda, who chairs DoubleLine's Structured Products Committee and leads the firm's non-Agency mortgage securities team, discusses his asset class and housing market outlook with Jeffrey Sherman and Samuel Lau on April 10. Mr. Shinoda discusses his path in asset management, ... Read More

DoubleLine
TSS Episode 136: GeoWealth's Jen Wing on TAMPs, Serving RIAs and Customized Portfolio Models

DoubleLine

Play Episode Listen Later Mar 30, 2023 49:56


Jen Wing, Head of Asset Management at GeoWealth, a proprietary technology and turnkey asset management platform (TAMP) to registered investment advisors (RIAs), appears March 28, 2023, with DoubleLine's Jeffrey Sherman and Samuel Lau. Mr. Sherman asks Ms. Wing (0:59) to ... Read More

Halftime Report
Halftime Report+ DoubleLine Capital CEO Jeffrey Gundlach 3/27/23

Halftime Report

Play Episode Listen Later Mar 27, 2023 21:24


Jeffrey Gundlach, DoubleLine Capital CEO, discusses the ongoing banking crisis and his forecasts for the economy and stock market.

DoubleLine
TSS Episode 135: Fairlead's Katie Stockton Charts a Path Into Technical Analysis

DoubleLine

Play Episode Listen Later Mar 16, 2023 48:31


DoubleLine Deputy Chief Investment Officer Jeffrey Sherman and Portfolio Manager Samuel Lau welcome Fairlead Strategies Founder and Managing Partner Katie Stockton, the first technical analysis specialist to visit The Sherman Show. Ms. Stockton kicks off the show by recounting what ... Read More

DoubleLine
TSS Episode 134: Capital Allocators' Ted Seides on Literal Rich Uncles, Platforming CIOs and Fewer Unforced Errors

DoubleLine

Play Episode Listen Later Mar 2, 2023 48:58


DoubleLine Deputy Chief Investment Officer Jeffrey Sherman and Portfolio Manager Samuel Lau welcome Ted Seides, founder of Capital Allocators, a podcast ecosystem that includes gatherings, and advisory to managers and allocators. The episode kicks off with Mr. Seides recounting how ... Read More