Jeffrey M. Mayberry

Jeffrey M. MayberryJeffrey M. Mayberry

Fixed Income Asset Allocation Strategist and Portfolio Manager

Mr. Mayberry joined DoubleLine in 2009. He is a Fixed Income Asset Allocation (FIAA) Strategist on the FIAA committee and a contributing member on our Global Asset Allocation and Macro committees where he provides macro economic and sector commentary. Mr. Mayberry is a Portfolio Manager on DoubleLine’s strategic commodity strategy while working in portfolio management and trading for derivatives-based and multi-asset strategies. His research has contributed to the team’s development of DoubleLine’s smart-beta strategies including the Shiller Enhanced CAPE and Shiller Enhanced International CAPE along with DoubleLine’s strategic commodity strategy. Mr. Mayberry represents DoubleLine as a featured panelist and guest speaker at industry and client events, as well as authors several news pieces, articles and white papers. Prior to DoubleLine, he was a Senior Vice President at TCW for nine years within the Mortgage Group, where he specialized in systems monitoring and development and created a “real-time” asset and liability valuation system for portfolio and fund monitoring and analytics. Mr. Mayberry holds a BS in Engineering from Harvey Mudd College and an MS in Financial Engineering from the Peter F. Drucker Graduate School of Management at Claremont Graduate University.



2002 N. Tampa St.
Suite 200
FL 33602



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