What does 2022 have in store? Episode 78
Episode Summary
Jeff and Bruce speak with Jeffrey Sherman, deputy CIO at DoubleLine Capital, about inflation, bonds, ETFs and ESG. Then the dynamic duo debates the 2022 outlook with Mark Schoeff Jr.
Episode Notes
In this episode, you’ll hear about:
- Is inflation in 2022 transitory or not?
- How do financial advisers handle bonds in portfolios right now?
- Active management of ETFs.
- What’s DoubleLine’s position on ESG?
- What’s our outlook for 2022?
Guest Bio:
As DoubleLine’s Deputy Chief Investment Officer, Jeffrey Sherman oversees and administers DoubleLine’s Investment Management subcommittee coordinating and implementing policies and processes across the investment teams. He also serves as lead portfolio manager for multi-sector and derivative-based strategies. He is a member of DoubleLine’s Executive Management and Fixed Income Asset Allocation Committees. He can be heard regularly on his podcast “The Sherman Show” (@ShermanShowPod), where he interviews distinguished guests, giving listeners insight into DoubleLine’s current views. In 2018, Money Management Executive named Jeffrey Sherman as one of “10 Fund Managers to Watch” in their yearly special report.
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