
DoubleLine Cross Asset Strategists & Portfolio Managers, host a series of podcasts recapping the previous week’s market updates.
| Publishes | Weekly | Episodes | 181 | Founded | 5 years ago |
|---|---|---|---|---|---|
| Number of Listeners | Categories | BusinessInvesting | |||

For the week ended July 17, DoubleLine Portfolio Manager Eric Dhall and Macro Asset Allocation Strategist Ryan Kimmel delve into rotating stock leadership amid a route in chipmakers (0:45), a clip-the-coupon bond world (4:47) and stronger commodities... more
DoubleLine Portfolio Manager Eric Dhall and Analyst Mark Kimbrough review the second quarter with stocks (1:44) led by a 43%+ gain in tech, high-grade bonds (6:07) grinding out the carry despite selling in the belly of the yield curve and commodities... more
DoubleLine Portfolio Manager Jeff Mayberry and Macro Asset Allocation Strategist Ryan Kimmel review the market week ended June 26. Trading was marked by new leadership from neglected stock sectors (00:22), significant Treasury curve flattening (5:02)... more
DoubleLine’s Eric Dhall and Ryan Kimmel run down the June 8-12 market week, which marked the arrival of the historic SpaceX IPO – an impressive debut for a company with no profits, as Mr. Dhall notes. Aside from the SpaceX splash, the broader equitie... more
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Great each and every week
Big fan of Jeff and Sam! Great podcast with good info for the coming week.
Good recap of 1/26 Fed meeting on episode 50. Keep up the good work
Thanks very much for the FOMC analysis! Well detailed on the statement and press conference front
This podcast provides most if not all economic data that regular joe investors need each week. Super helpful.
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Apple Podcasts | #110 |
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This show delivers a recurring, in-depth weekly macro and markets briefing led by a team of strategists. Episodes typically center on how inflation signals, fiscal and monetary policy, and geopolitical developments shape risk appetite, with a heavy emphasis on equity leadership, fixed income dynamics, and commodity trends. The hosts translate complex data into actionable takeaways for portfolio construction, highlighting themes like regime shifts for the Fed, the pricing of energy and tech cycles, and the benefits of diversification amid headline-driven moves. A notable strength is the cohesive, data-driven narrative from a single firm, with frequent cross-references to forthcoming data releases and events that could influence markets.
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DoubleLine Minutes launched 5 years ago and published 181 episodes to date. You can find more information about this podcast including rankings, audience demographics and engagement in our podcast database.
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