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Sam Garza

Portfolio Manager, Macro-Asset Allocation & CLOs

Mr. Garza joined DoubleLine in 2009. He is a Portfolio Manager overseeing both the Macro-Asset Allocation and CLO teams. He is a permanent member of the Fixed Income Asset Allocation and the Structured Product Committees. Prior to DoubleLine, Mr. Garza was a Senior Vice President at TCW where he held several positions over his nine-year tenure there. Prior to TCW, he worked at Union Bank of California in the Commercial Banking Group where he was involved with corporate loan underwriting. Mr. Garza holds a BA in Business Economics from the University of California, Santa Barbara and an MBA from the Anderson School of Management at the University of California, Los Angeles.

Fixed-income investors may want to consider mortgage-backed securities. (This podcast was recorded on Nov. 4)

  • November 18, 2020 November 24, 2020
  • 16:30

Less sweeping change may help stabilize markets.

  • November 4, 2020 November 10, 2020
  • 16:30