Search
Commentary
Funds
Jun 2025

DoubleLine Quarterly Fund Commentary

The second quarter of 2025 was marked by rising policy uncertainty, slowing growth and heightened geopolitical tension, yet markets demonstrated resilience. U.S. equity markets experienced a brief correction mid-quarter but rebounded into June, driven by robust earnings guidance and expectations of late-year easing of the federal funds rate by the Federal Reserve.

Download the PDF to read more including quarterly attribution for each DoubleLine mutual fund.