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Oct 24, 2023 | Round Table

International Fixed Income Round Table: Latin America

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In a Round Table discussion, DoubleLine Emerging Markets Fixed Income portfolio managers, William Campbell and Luz Padilla discuss the International Fixed Income universe, moderated by Product Specialist, Chris Stegemann.

  • Ms. Padilla cites Brazil and Mexico as favorites for fixed income investment along with smaller weightings to Chile, Colombia and Peru.
  • Ms. Padilla favors countries that have the potential to migrate up the credit curve and improve their overall conditions while focusing on both the sovereign and corporate sectors. In terms of industry focus,
  • Ms. Padilla prefers sectors that are strategic to an economy, such as banking, utilities, oil and gas, and mining, “within not just Latin America but across the whole globe.”

Recorded 10-24-23

To view the Round Table discussion in its entirety, click here

ABOUT THE SPEAKERS

ABOUT THE SPEAKERS

  • Luz Padilla

    International Fixed Income

    Luz Padilla

    International Fixed Income

    Ms. Padilla joined DoubleLine in 2009 as the Director of the Emerging Markets Fixed Income team and is the lead Portfolio Manager. In addition, she is a permanent member of the Fixed Income Asset Allocation Committee. Prior to DoubleLine, Ms. Padilla was a Managing Director at TCW. She began working at TCW in 1994, where she served in a number of roles including Credit Analyst, Director of Research, Co-Portfolio Manager, and lead Portfolio Manager. Ms. Padilla was involved in all aspects of building and managing TCW’s Emerging Markets Fixed Income business including credit, securitization, trading and marketing. She holds a B.A. in Economics from Stanford University and MBA from the University of California, Berkeley, as a fellow of the Robert A. Toigo Foundation.

  • William Campbell

    Portfolio Manager
    International Fixed Income - Int. Sovereign

    William Campbell

    Portfolio Manager
    International Fixed Income - Int. Sovereign

    Mr. Campbell joined DoubleLine in 2013. He is a Portfolio Manager for the DoubleLine Global Bond Strategy and is a permanent member of the Fixed Income Asset Allocation Committee. He covers Developed Markets, Central & Eastern Europe, Middle East and Africa (CEEMEA), and China. Prior to DoubleLine, Mr. Campbell worked for Peridiem Global Investors as a Global Fixed Income Research Analyst and Portfolio Manager. Previous to that, he was with Nuveen Investment Management Company, first as a Quantitative Analyst in their Risk Management and Portfolio Construction Group, then as a Vice President in their Taxable Fixed Income Group. Mr. Campbell also worked at John Hancock Financial as an Investment Analyst. He holds a BS in Business Economics and International Business, as well as a BA in English, from Pennsylvania State University. Mr. Campbell holds an MA in Mathematics, with a focus on Mathematical Finance, from Boston University.