DoubleLine Deputy Chief Investment Officer Jeffrey Sherman joins CNBC’s Money Movers to talk fixed income markets, U.S. Treasury yields, inflation dynamics and portfolio positioning amid elevated geopolitical risk. Mr. Sherman also discusses the markets’ resilience, how real yields and duration impact DoubleLine’s strategy and what could trigger a breakout in interest rates as investors assess Federal Reserve policy, labor data and fiscal spending. He also shares insights on U.S. dollar trends, emerging markets local-currency bonds and where institutional investors might find attractive risk-adjusted yield opportunities in today’s global fixed-income landscape.

Warsh's Way: More Front-End Vol, Less "Jump Risk"
583 views

Jeffrey Sherman: The Bond Market Woke Up to Warsh | Bloomberg TV
5.4K views

Will Warsh Be the Next Volcker? | Jeffrey Gundlach
3.3K views

Jeffrey Gundlach and Felix Zulauf: The Second Inning of a Major Shift
44.3K views

Ken Shinoda: Higher but Stable Is Good for Credit | Bloomberg TV
1.2K views

Jeffrey Gundlach on Kevin Warsh and a New Era at the Fed | CNBC
48.5K views