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Nov 11, 2024 | Media Appearances

Ken Shinoda on Bloomberg: Post-Election Market Insights & Outlook

Ken Shinoda, DoubleLine Portfolio Manager and Head of Structured Products, joins Bloomberg TV to explore the post-election rally in the equity space, volatility in the bond market and the rise in yields. He also discusses the potential impact of fiscal stimulus and deficit spending, the outlook for corporate credit and small-cap stocks, and the implications for the commercial real estate market. Recorded on November 11, 2024.

ABOUT THE GUEST

ABOUT THE GUEST

  • Ken Shinoda, CFA

    Structured Products - Non-Agency RMBS

    Ken Shinoda, CFA

    Structured Products - Non-Agency RMBS

    Mr. Shinoda joined DoubleLine at inception in 2009. He is Chairman of the Structured Products Committee and oversees the non-Agency RMBS team specializing in investing in non-Agency mortgage-backed securities, residential whole loans and other mortgage-related opportunities. Mr. Shinoda is co-Portfolio Manager on the Total Return, Opportunistic Income, Income, Opportunistic MBS and Strategic MBS strategies. He is also lead Portfolio Manager overseeing the Mortgage Opportunities private funds. Mr. Shinoda is also a permanent member of the Fixed Income Asset Allocation Committee, as well as, participating in the Global Asset Allocation Committee. In addition, he hosts DoubleLine’s “Channel 11 News” (Twitter @DLineChannel11, dline11@doubleline.com), a webcast series that provides market insights and commentary with peers and industry experts. Prior to DoubleLine, Mr. Shinoda was Vice President at TCW where he worked in portfolio management and trading. He holds a B.S. in Business Administration from the University of Southern California and is a CFA® charterholder.