Search
Podcast
Markets
Jan 13, 2023 | DoubleLine Minutes

MMM Episode 98: Mixed to Improving Inflation, Higher Odds of Recession

After scoring a largely up week for stocks, fixed income, commodities and even Bitcoin, Jeff Mayberry and Samuel Lau, finding little in the way of market-moving news for Jan. 9-13, review a raft of inflation gauges (7:23), after the December CPI earlier in the week met expectations. Then they update their favorite recession indicators (14:47), which have worsened since their last review of these in September. Looking ahead to the holiday-abbreviated week of Jan. 17-20 (26:18), Jeff and Sam cast their gaze on retail sales, the December PPI and the Fed’s beige book release, due Wednesday; jobless claims, due Thursday; and scheduled Fedspeak events.

Subscribe to the Monday Morning Minutes podcast on:

iTunes  |  Soundcloud  |  Stitcher  |  Spotify  |  Google Podcasts

Follow us on Twitter

Comments and suggestions should be directed to Minutes@doubleline.com

About the Hosts

About the Hosts

  • Jeffrey Mayberry

    Macro-Asset Allocation

    Jeffrey Mayberry

    Macro-Asset Allocation

    Mr. Mayberry joined DoubleLine in 2009. He is a Portfolio Manager on DoubleLine’s strategic commodity strategy while working in portfolio management and trading for derivatives‐based and multi‐asset strategies. Mr. Mayberry is a Strategist on the Fixed Income Asset Allocation Committee and a contributing member on our Global Asset Allocation and Macro committees. He also co-hosts DoubleLine’s weekly Monday Morning Minutes (Twitter @DLineMinutes, Minutes@Doubleline.com) podcast. Prior to DoubleLine, Mr. Mayberry was a Senior Vice President at TCW for nine years within the Mortgage Group, where he specialized in portfolio and fund monitoring and analytics. He holds a B.S. in Engineering from Harvey Mudd College and an M.S. in Financial Engineering from the Peter F. Drucker Graduate School of Management at Claremont Graduate University.

  • Samuel Lau

    Macro-Asset Allocation

    Samuel Lau

    Macro-Asset Allocation

    Mr. Lau joined DoubleLine in 2009. He is a Strategist on the Fixed Income Asset Allocation (FIAA) Committee and a contributing member on the Global Asset Allocation and Macro Committees. Mr. Lau is a Portfolio Manager on DoubleLine’s strategic commodity strategy while working in portfolio management and trading for derivatives-based and multi-asset strategies, including DoubleLine's Shiller Enhanced CAPE®, Shiller Enhanced International CAPE®, Real Estate and Income, and Multi-Asset Trend strategies. He also co-hosts the Sherman Show (Twitter @ShermanShowPod, ShermanShow@Doubleline.com) and Monday Morning Minutes (Twitter @DLineMinutes, Minutes@Doubleline.com) podcasts. Prior to DoubleLine, Mr. Lau was a Vice President at TCW where he worked under Jeffrey Gundlach as a Research Analyst in the Mortgage Group. He holds a B.S. from the University of Wisconsin, Madison and an MBA from the Marshall School of Business at the University of Southern California.