DoubleLine Capital LP

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.

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Paul Schroeder, CFA   
Head of Insurance Client Solutions
paul.schroeder@doubleline.com
Direct: 213-372-3123
Main: 813-791-7333

NEW
06/04/26

Commercial Mortgage Loans: Building Around the Insurance Balance Sheet

Morris Chen, Portfolio Manager and Head of CMBS & CRE Debt Investments at DoubleLine Capital, and Robert Stanbrook, Portfolio Manager for the firm's CRE Loan Platform, join the InsuranceAUM.com Podcast to discuss the role of commercial mortgage loans in insurance portfolios.

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Honebuto Shock: Japan Courts a Truss-Like Redux

Japan’s bond and currency markets are pushing back against plans for fiscal expansion paired with accommodative monetary policy. DoubleLine examines parallels with the UK’s 2022 gilt-market crisis and why maintaining fiscal credibility may be increasingly important for developed-market sovereigns.

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Trickle-Down AI-conomics

AI infrastructure spending is spreading beyond technology companies into utilities, industrials and other investment grade issuers. DoubleLine explains why this growing exposure may create hidden risks in corporate bond portfolios and make active credit selection increasingly important.

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Monthly Market Commentary

Stay ahead of shifting global markets with DoubleLine’s Market Commentary, a comprehensive yet accessible monthly review for investors, advisers and institutions seeking informed perspective.

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Channel 11: World Cup Distractions and Mag 7 Disappointments

DoubleLine Portfolio Manager Ken Shinoda reviews a June market environment shaped by easing energy prices, broader equity participation, Fed policy shifts and continued strength in short-duration and floating rate fixed income. He also discusses Mag 7 performance, inflation breakevens and why he believes the market is becoming more selective.

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