DoubleLine Investment Management-

2Q2026: Banquet for Tech, Flat Belly for Bonds (E267)

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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 (9:53) giving back part of their still-healthy YTD gains. The U.S. dollar (12:28), Eric notes, was very resilient on the Federal Reserve’s commitment to defeat inflation.

In a tour of the last two weeks’ macro news (13:25), Mark finds a mostly stable labor market based on his readings of the June U-3 unemployment report, the latest JOLTS report and the update to weekly jobless claims data. Looking to the week ahead, the star prints of course will be the June CPI (Tuesday) and PPI (Wednesday) reports. Mark also will be eyeballing the first corporate earnings results for the quarter.

 

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DoubleLine has been managing money for insurers since its inception in 2009. The firm's focus on securitized fixed income and risk management positions it well to manage money for insurers. The firm offers an array of fixed income strategies including dedicated ABS, private ABF, CLOs, infrastructure debt, non-QM, commercial and residential loans, multi-sector fixed income and EM. We understand that the needs of each insurer can vary, and our insurance team is focused on providing our clients with unparalleled access to the investment team and creating custom solutions to meet their distinctive objectives. DoubleLine wants to be your fixed income partner.
 

Paul Schroeder, CFA   
Relationship Manager- Insurance  
paul.schroeder@doubleline.com
Direct: 213-372-3123
Main: 813-791-7333
 

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