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Mar 2025 | Quarterly Fund Reviews

Core Fixed Income Fund - Quarterly Fund Review

It might be hard to believe, but just six weeks ago, U.S. equity markets were reaching new highs, fueled by growing optimism among consumers and businesses. Since then, sentiment has shifted dramatically. The post-election rally – characterized by a stronger U.S. dollar and rising risk assets – has given way to a more cautious tone. A 10% correction across risk assets in the latter half of the first quarter reflected mounting uncertainty around White House policy, especially trade. The on-again, offagain tariff rhetoric weighed on investor confidence, as reflected in softening economic indicators.

ABOUT THE PORTFOLIO MANAGERS

ABOUT THE PORTFOLIO MANAGERS

  • Jeffrey Gundlach

    Chief Executive Officer & Chief Investment Officer
    CEO-CIO

    Jeffrey Gundlach

    Chief Executive Officer & Chief Investment Officer
    CEO-CIO

    Mr. Gundlach is CEO of DoubleLine.  In 2011, he appeared on the cover of Barron's as "The New Bond King."  In 2013, Institutional Investor named him "Money Manager of the Year."  In 2012, 2015 and 2016, he was named one of "The Fifty Most Influential" in Bloomberg Markets.  In 2017, he was inducted into the FIASI Fixed Income Hall of Fame.  Mr. Gundlach is a summa cum laude graduate of Dartmouth College, with degrees in Mathematics and Philosophy.

  • Jeffrey Sherman, CFA

    Deputy Chief Investment Officer

    Jeffrey Sherman, CFA

    Deputy Chief Investment Officer

    Jeffrey Sherman, DoubleLine’s Deputy Chief Investment Officer, is a thought leader, portfolio manager and public speaker in the industry. Mr. Sherman is a member of DoubleLine’s Fixed Income and Global Asset Allocation committees, and he serves as lead portfolio manager for the firm’s multi-sector and derivative-based strategies. In his role, Mr. Sherman guides the investment teams in developing top-down macro views and collaborative asset allocation processes throughout a market cycle. Additionally, he is a member of DoubleLine’s Executive Management Committee. In 2018, Money Management Executive named Mr. Sherman as one of “10 Fund Managers to Watch” in its yearly special report. Prior to joining DoubleLine in 2009, Mr. Sherman was a Senior Vice President at TCW, where he worked as a portfolio manager and quantitative analyst focused on fixed income and real-asset portfolios. Prior to that, he was a statistics and mathematics instructor at the University of the Pacific and Florida State University. Mr. Sherman taught Quantitative Methods for Level I candidates in the USC/CFALA CFA® Review Program for many years. He holds a B.S. in Applied Mathematics from the University of the Pacific and an M.S. in Financial Engineering from Claremont Graduate University. Mr. Sherman is a CFA® charterholder.