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A Closer Look at the DoubleLine Total Return Tactical Strategy – 4Q 2020
Posted: Monday, April 5, 2021

The DoubleLine Total Return Tactical Strategy seeks to maximize total return over a full market cycle by actively investing across global fixed income sectors. The strategy normally maintains a shorter duration and higher yield than its benchmark, the Bloomberg Barclays U.S. Aggregate Bond Index. Active management is the centerpiece of DoubleLine’s investment philosophy as the investment team seeks to deliver superior risk adjusted returns by using a time-tested process that has successfully navigated numerous market and economic cycles.

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