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DoubleLine Portfolio Manager Jeffrey Mayberry and Fixed Income Asset Allocation Strategist Ryan Kimmel recap the market week of Feb. 24-28. They also review performance after the first full month under Trump 2.0 and look at the winners and losers year-to-date among equities, bonds and commodities. Over in Macro Land (7:09), Jeff and Ryan run down a pretty busy week of prints, including softening consumer sentiment, lackluster home sales (8:43) and encouraging PCE inflation data (11:08).
Next week (18:06) will bring payroll numbers, ISM PMI manufacturing and services prints and the Fed’s Beige Book on current economic conditions.
By DoubleLine4.6
1414 ratings
DoubleLine Portfolio Manager Jeffrey Mayberry and Fixed Income Asset Allocation Strategist Ryan Kimmel recap the market week of Feb. 24-28. They also review performance after the first full month under Trump 2.0 and look at the winners and losers year-to-date among equities, bonds and commodities. Over in Macro Land (7:09), Jeff and Ryan run down a pretty busy week of prints, including softening consumer sentiment, lackluster home sales (8:43) and encouraging PCE inflation data (11:08).
Next week (18:06) will bring payroll numbers, ISM PMI manufacturing and services prints and the Fed’s Beige Book on current economic conditions.

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