Profile
Mr. Jeffrey M.
Mayberry is a Portfolio Manager at DoubleLine Capital LP.
He 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.
He is a Strategist on the Fixed Income Asset Allocation Committee and a contributing member on our Global Asset Allocation and Macro committees.
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.
Jeff Mayberry active positions
| Companies | Position | Start |
|---|---|---|
DoubleLine Capital LP
DoubleLine Capital LP Investment ManagersFinance DoubleLine manages various security types within multiple sectors of the securities markets. Each sector’s investment team uses different methods of analysis in determining which securities, security types, asset classes or industries or sectors in which to invest at any given time in the market cycle. The firm primarily is a fixed income investment manager, although it manages other strategies. | Portfolio Manager-Fixed Income | 30/11/2009 |
Training of Jeff Mayberry
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
Harvey Mudd College
Harvey Mudd College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Claremont Graduate University
Claremont Graduate University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
DoubleLine Capital LP
DoubleLine Capital LP Investment ManagersFinance DoubleLine manages various security types within multiple sectors of the securities markets. Each sector’s investment team uses different methods of analysis in determining which securities, security types, asset classes or industries or sectors in which to invest at any given time in the market cycle. The firm primarily is a fixed income investment manager, although it manages other strategies. | Finance |
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