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Doubleline Low Duration Emerging Markets Fixed Income Fund Class N (DELNX)

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9.58 -0.02    -0.21%
21/11 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 4.7M
Type:  Fund
Market:  United States
Issuer:  DoubleLine
Asset Class:  Bond
DoubleLine Low Dur Emerg Mkts Fxd Inc N 9.58 -0.02 -0.21%

DELNX Overview

 
On this page you'll find an in-depth profile of Doubleline Low Duration Emerging Markets Fixed Income Fund Class N. Learn about the key management, total assets, investment strategy and contact information of DELNX among other information.
Category

Emerging Markets Bond

Total Assets

4.7M

Expenses

0.84%

Inception Date

41736

Investment Strategy

The investment seeks long term total return. The fund normally invests primarily in debt obligations issued by sovereign, quasi-sovereign and private (non-government) emerging market issuers. Sovereign and quasi-sovereign emerging market issuers include governments of emerging market countries, and governmental entities or agencies, and issuers that are owned, in whole or in part, or whose obligations are guaranteed, in whole or in part, by a government or governmental entity or agency of an emerging market country.

Contact Information

Address 333 South Grand Avenue
Los Angeles,CA 90071
United States
Phone +1 8773546311

Top Executives

Name Title Since Until
Mark W. Christensen Portfolio Manager 2014 Now
Biography Mr. Christensen joined DoubleLine in 2009 as an Emerging Markets Portfolio Manager and Co-Director of Corporate Research. He is a contributing member on the Fixed Income Asset Allocation committee. Prior to DoubleLine, Mr. Christensen was a Managing Director at TCW since 1991, where he had been involved in building and managing TCW’s Emerging Markets Fixed Income business, including Trading, Marketing, Credit Research, and Portfolio Management. He holds a BS in Business Management with an emphasis in International Finance from Brigham Young University.
Su Fei Koo Portfolio Manager 2014 Now
Biography Ms. Koo joined DoubleLine in 2009 as an Emerging Markets Portfolio Manager and Co-Director of Corporate Research. She is also a member of the Fixed Income Asset Allocation committee. Prior to DoubleLine, Ms. Koo was a Senior Vice President associated with TCW since 1998. In addition to credit analysis, she was involved in marketing and, beginning in 2006, performed increasing portfolio management duties. Previous to TCW, Ms. Koo was an Assistant Treasurer at Société Générale involved in Corporate Finance and prior to that, was an Assistant Vice President with Bank of America in the Financial Institutions Group. Ms. Koo holds a BS in Business Administration from the University of Houston and an MBA in Finance from the University of Southern California.
Luz M. Padilla Portfolio Manager 2014 Now
Biography Ms. Padilla joined DoubleLine in 2009 as the Director of the Emerging Markets Group and is the lead Portfolio Manager. In addition, she is a permanent member of the Fixed Income Asset Allocation Committee. Prior to DoubleLine, Ms. Padilla was a Managing Director at TCW. She began working at TCW in 1994, where she served in a number of roles including Credit Analyst, Director of Research, Co-Portfolio Manager, and lead Portfolio Manager. Ms. Padilla was involved in all aspects of building and managing TCW's Emerging Markets Fixed Income business including credit, securitization, trading and marketing.
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