C000206624 Holdings — DoubleLine Real Estate and Income Fund

All 250 reported holdings of DoubleLine Real Estate and Income Fund (C000206624) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
US Treasury N/b11.98%$12.03M
US Treasury N/b5.42%$5.45M
JPMorgan US Government Money M4.66%$4.68M
First American Government Obli4.66%$4.68M
Morgan Stanley Institutional L4.66%$4.68M
US Treasury N/b4.60%$4.62M
US Treasury N/b4.32%$4.34M
US Treasury N/b3.79%$3.81M
US Treasury N/b3.76%$3.78M
US Treasury N/b3.21%$3.23M
Fannie Mae2.86%$2.87M
Freddie Mac2.14%$2.15M
Fannie Mae1.96%$1.97M
Citigroup Mortgage Loan Trust1.95%$1.96M
US Treasury N/b1.63%$1.63M
Fannie Mae1.43%$1.44M
Ajax Mortgage Loan Trust1.38%$1.39M
Pretium Mortgage Credit Partne1.07%$1.07M
Pretium Mortgage Credit Partne1.02%$1.02M
Vericrest Opportunity Loan Tra1.00%$1.01M
JP Morgan Chase Commercial Mor0.97%$979.40K
KVK CLO Ltd0.97%$976.67K
Freddie Mac0.97%$972.80K
MP Clo IV, LTD.0.96%$967.74K
Cfip Clo Ltd.0.95%$955.84K
OFSI Fund LTD0.94%$946.20K
Wind River CLO Ltd0.94%$944.06K
Halcyon Loan Advisors Funding0.93%$937.20K
Wind River CLO Ltd0.93%$930.90K
Barclays Commercial Mortgage S0.92%$924.11K
MidOcean Credit CLO0.92%$923.95K
Steele Creek CLO Ltd0.79%$792.96K
Preston Ridge Partners Mortgag0.77%$773.96K
Velocity Commercial Capital Lo0.76%$761.18K
Atrium Hotel Portfolio Trust0.75%$755.56K
Shackleton CLO LTD0.71%$715.49K
Ladder Capital Commercial Mort0.71%$710.11K
Upstart Securitization Trust0.71%$708.53K
Morgan Stanley Capital I Trust0.66%$662.34K
Textainer Marine Containers Li0.65%$654.65K
BX Trust0.63%$632.18K
Castlelake Aircraft Securitiza0.61%$615.55K
Cosmopolitan Hotel Trust0.59%$596.84K
Preston Ridge Partners Mortgag0.59%$592.93K
JPMBB Commercial Mortgage Secu0.58%$581.27K
Great Wolf Trust0.56%$560.79K
Hilton USA Trust0.55%$547.61K
Home Re Ltd0.53%$537.23K
DBGS Mortgage Trust0.52%$518.58K
Bunker Hill Loan Depositary Tr0.51%$516.11K
BX Trust0.49%$497.31K
LCM Ltd Partnership0.49%$490.08K
Kabbage Funding LLC0.48%$487.32K
Upstart Securitization Trust0.48%$486.56K
Oxford Finance Funding Trust0.48%$482.82K
AASET 2018-1 Trust0.48%$477.82K
Wellfleet CLO Ltd0.46%$462.77K
Marble Point CLO LTD0.45%$455.88K
Carval CLO LTD0.45%$455.77K
CBAM CLO Management0.44%$444.93K
Wind River CLO Ltd0.43%$436.39K
Sofi Consumer Loan Program Tru0.43%$430.37K
Cedar Funding Ltd0.43%$430.10K
Marlette Funding Trust0.38%$383.76K
Steele Creek CLO Ltd0.38%$380.66K
Drb Prime Student Loan Trust0.37%$376.17K
CPS Auto Trust0.37%$370.18K
Prosper Marketplace Issuance T0.34%$344.48K
Sumitomo Mitsui Finl Grp0.34%$337.47K
Consumer Loan Underlying Bond0.33%$327.19K
Foundation Finance Trust0.33%$326.99K
Start Ltd.0.32%$316.56K
Citigroup, Inc.0.31%$312.45K
Cardinal Health, Inc.0.31%$306.57K
Tlwnd 2019-10.29%$287.96K
OFSI Fund LTD0.26%$259.78K
Wakala Global Sukuk Bhd0.26%$257.62K
Barclays Commercial Mortgage S0.25%$254.25K
Bat Capital Corp.0.25%$251.46K
Stack Infrastructure Issuer LL0.25%$248.43K
Daimler Finance Na LLC0.24%$243.76K
JP Morgan Chase Commercial Mor0.23%$234.52K
BX Trust0.22%$224.13K
Carrier Global Corp.0.22%$221.95K
Cintas Corporation No. 20.22%$221.17K
Bristol-Myers Squibb Co.0.22%$219.56K
Upgrade Receivables Trust0.22%$218.96K
BHP Trust0.22%$218.93K
Welltower, Inc.0.22%$216.35K
Hyundai Capital America0.21%$215.06K
GSCG Trust0.21%$213.56K
Carbon Capital VI Commercial M0.21%$211.44K
Analog Devices, Inc.0.21%$210.33K
Consumer Loan Underlying Bond0.21%$209.88K
Microchip Technology, Inc.0.21%$209.64K
Omnicom Gp/omnicom Cap0.21%$208.58K
Cigna Corp.0.21%$208.22K
Hpht Finance 19 Ltd.0.21%$207.53K
Malayan Banking Bhd0.20%$203.40K
TPG Real Estate Finance0.20%$203.10K
CLNC 2019-FL1, Ltd0.20%$201.55K
Ebay, Inc.0.20%$201.31K
Grupo Inversiones Surame0.20%$200.94K
Axiata Spv2 Bhd0.20%$200.34K
Avolon Holdings Fndg Ltd.0.20%$199.70K
Dbs Group Holdings Ltd.0.20%$199.66K
Cnac Hk Finbridge Co. Ltd.0.20%$198.80K
United Overseas Bank Ltd.0.20%$197.22K
Union Pacific Corp.0.20%$196.94K
GPMT Ltd.0.20%$196.88K
Ongc Videsh Vankorneft0.19%$195.68K
Oleoducto Central SA0.19%$191.74K
Republic Services, Inc.0.19%$191.68K
Penske Truck Leasing/ptl0.19%$191.68K
Greystone Commercial Real Esta0.19%$189.77K
Toronto-Dominion Bank0.19%$187.42K
Vtr Finance Bv0.19%$187.00K
Adani Ports And Special0.18%$185.00K
Upl Corp. Ltd.0.18%$184.99K
Anthem, Inc.0.18%$184.36K
Bbva Bancomer SA Texas0.18%$183.71K
Mondelez International0.18%$183.15K
Banco Nacional.com Ext0.18%$182.36K
Fontainebleau Miami Beach Trus0.18%$180.97K
Marb Bondco PLC0.18%$179.75K
Barclays Commercial Mortgage S0.18%$179.37K
Cemex Sab De Cv0.18%$178.75K
Bellemeade Re Lt0.18%$177.26K
Macquarie Bank Ltd.0.17%$174.01K
Delta Air Lines, Inc.0.17%$173.13K
Tecnoglass, Inc.0.17%$169.68K
JP Morgan Chase Commercial Mor0.17%$168.50K
Simon Property Group LP0.17%$168.27K
Paypal Holdings, Inc.0.16%$164.41K
General Electric Co.0.16%$162.51K
MKT 2020-525M Mortgage Trust0.16%$160.82K
BFLD Trust0.16%$159.00K
Aes Gener SA0.16%$157.63K
BX Trust0.16%$156.85K
Marsh & Mclennan Cos, Inc.0.15%$155.14K
GS Mortgage Securities Trust0.15%$152.10K
Wells Fargo Commercial Mortgag0.15%$149.29K
Freeport-Mcmoran, Inc.0.14%$144.70K
Banco Reservas Rep Domin0.14%$143.62K
Schlumberger Hldgs Corp.0.14%$142.23K
Hospitality Mortgage Trust0.13%$130.63K
Dte Energy Co.0.12%$123.88K
Capital One Financial Co.0.12%$118.76K
Sparc Em Spc Panama Metr0.12%$117.75K
Prudential Financial, Inc.0.12%$116.08K
Ena Norte Trust0.11%$113.92K
Air Lease Corp.0.11%$105.80K
Alixpartners Llp0.11%$105.60K
Abbvie, Inc.0.10%$105.05K
CSAIL Commercial Mortgage Trus0.10%$102.08K
Csc Holdings LLC0.10%$100.65K
Trans Union LLC0.10%$99.41K
Transdigm, Inc.0.10%$98.08K
Filtration Group Corp.0.10%$96.07K
Sophia LP0.10%$95.81K
Capital One Financial Co.0.09%$94.81K
American Airlines, Inc.0.09%$88.41K
Hyland Software, Inc.0.08%$84.23K
Prudential Financial, Inc.0.06%$57.31K
Aldevron LLC0.06%$56.70K
Oracle Corp.0.06%$56.21K
Golden Nugget0.06%$55.79K
Sedgwick Cms, Inc.0.05%$54.51K
Surf Holdings LLC0.05%$53.85K
Tkc Holdings, Inc.0.05%$53.12K
Sotera Health Hldgs LLC0.05%$53.01K
Bhn Merger Sub, Inc.0.05%$52.79K
Parexel Intl Corp.0.05%$51.83K
Anthem, Inc.0.05%$50.75K
Interoceanica Iv Finance0.05%$48.39K
Golden Nugget0.05%$47.62K
Allied Universal Holdco LLC0.05%$46.50K
Irb Holding Corp.0.05%$46.54K
Wp Cpp Holdings LLC0.05%$45.52K
Cvent, Inc.0.04%$43.70K
Intelsat Jackson Hldg0.04%$41.71K
Flex Acquisition Co., Inc.0.04%$41.40K
Reynolds American, Inc.0.04%$40.54K
Kestrel Bidco, Inc.0.04%$39.33K
Deerfield Dakota Holding0.04%$38.70K
Genesee & Wyoming, Inc.0.04%$38.60K
Hercules Merger Sub LLC0.04%$37.02K
Blackstone Cqp Holdco LP0.04%$35.93K
Mister Car Wash Holdings In0.03%$33.17K
Solenis International LP0.03%$31.44K
Vertafore, Inc.0.03%$31.09K
Rpi Intermediate Finance0.03%$28.16K
Rpi 2019 Intermediate Fi0.03%$28.05K
Charter Nex US, Inc.0.03%$26.45K
H-Food Holdings LLC0.03%$25.42K
Astrazeneca PLC0.03%$25.21K
Air Methods Corp.0.02%$25.01K
Deerfield Dakota Holding Ll0.02%$24.62K
Tibco Software, Inc.0.02%$23.73K
Graftech Finance, Inc.0.02%$23.40K
Froneri US, Inc.0.02%$23.09K
Panther Bf Aggregator 20.02%$22.94K
Equinox Holdings, Inc.0.02%$22.16K
Titan Acquisition Ltd.0.02%$20.81K
Web.com Group, Inc.0.02%$20.75K
Cengage Learning, Inc.0.02%$20.45K
Access Cig LLC0.02%$20.54K
Avaya, Inc.0.02%$17.25K
Mavis Tire Express Servi0.02%$16.19K
Abe Investment Holdings0.02%$16.14K
Diamond Bc Bv0.02%$15.23K
Envision Healthcare Corp.0.01%$13.40K
Travelport Finance Luxem0.01%$13.09K
United Natural Foods, Inc.0.01%$12.96K
Clubcorp Holdings, Inc.0.01%$12.81K
Peak 10 Holding Corp.0.01%$10.78K
Mln US Holdco LLC0.01%$10.67K
Kloeckner Pentaplast Of Ame0.01%$10.62K
Kik Custom Products, Inc.0.01%$10.52K
Mondelez International0.01%$10.51K
Froneri US, Inc.0.01%$10.51K
Eg America LLC0.01%$9.65K
Team Health Holdings, Inc.0.01%$9.68K
Lifepoint Health, Inc.0.01%$9.34K
American Tire Distributors0.01%$8.92K
Ion Trading Finance Ltd.0.01%$8.31K
Almonde, Inc.0.01%$7.68K
Kik Custom Products, Inc.0.01%$7.32K
Kik Custom Products, Inc.0.01%$5.90K
Brand Industrial Service0.01%$5.61K
Solenis International LP0.00%$4.76K
Clear Channel Outdoor Ho0.00%$4.24K
Brand Industrial Service0.00%$3.63K
Kik Custom Products, Inc.0.00%$3.39K
Brand Industrial Service0.00%$2.83K
Eg America LLC0.00%$1.26K
American Tire Distributors0.00%$1.13K
Calpine Corp.0.00%$385
Mister Car Wash Holdings In0.00%$402
Irb Holding Corp.0.00%$119
Wp Cpp Holdings LLC0.00%$110
Solenis International LP0.00%$92
Brand Industrial Service0.00%$94
American Tire Distributors0.00%$45

C000206624 overview: performance, fees, allocation and SEC filings