HomeMy WebLinkAboutItem 4.13 - 2788 Q4 Investment Report
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STAFF REPORT
CITY COUNCIL
DATE: August 20, 2019
TO: Honorable Mayor and City Councilmembers
FROM:
Christopher L. Foss, City Manager
SUBJECT:
City Treasurer's Informational Report of Investments for the Quarter
Ending June 30, 2019
Prepared by: Jay Baksa, Financial Analyst
EXECUTIVE SUMMARY:
The City Council will receive an informational report of the City’s investments thr ough
the quarter ending June 30, 2019 including a monthly transaction ledger. The City’s
investment portfolio for this period totaled $286,533,795 (book value) with an average
market yield of 2.13%. As required by the Policy, the City Treasurer (Administrative
Services Director) affirms that the City is able to meet its expenditure requirements for
the next six months.
STAFF RECOMMENDATION:
Receive the report.
FINANCIAL IMPACT:
There is no financial impact resulting from this report. Investments are made in
accordance with the City Investment Policy and State Law. Interest earned is
apportioned between funds (i.e. General Fund, Gas Tax Fund, etc.) based upon their
proportionate share of the total cash balance. Based on the financial needs of the City
including the timing of receipt of revenues and payment of expenditures, the quarterly
cash balance can vary from quarter to quarter.
DESCRIPTION:
The total investment portfolio of $286,533,795 (book value) is comprised of
$187,533,673 managed by Chandler Asset Management (Chandler), and $99,000,122
invested by the City in local government pools. The average marke t yield of the
Chandler portfolio and the local pools was 2.13% and 2.43% respectively. The total
investment portfolio balance fluctuates throughout the year due to normal cash flow
needs and includes both discretionary and restricted funds.
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Economic Update Highlights
The following are some highlights from the Economic Update included in the attached
Investment Report prepared by Chandler (Attachment 1).
US domestic economic data remains consistent with a slow growth environment; the US
labor market is strong, wages are growing modestly, and inflation remains contained.
However, headwinds to the economy have increased. Ongoing global trade disputes,
slowing global economic growth, an uncertain outlook for Brexit, and geopolitical
tensions have made the outlook uncertain. The trajectory of economic growth is likely to
hinge on the outcome of ongoing trade negotiations as well as policy action by the
major global central banks. Chandler believes there is a high level of political pressure
to make progress toward a trade agreement with China before the election cycle heats
up this fall.
The Federal Open Market Committee (FOMC) kept the target fed funds rate unchanged
in June at a range of 2.25%-2.50% but did cut the target fed funds rate by 25 basis
points the last week of July to a range of 2.00%-2.25%.
Treasury yields declined further in June. At month-end, the 3-month T-bill yield was
down 25 basis points to 2.09%, the 2-year Treasury yield was down 17 basis point to
1.76%, and the 10-year Treasury yield was down 12 basis points to 2.01%. An inversion
of the yield curve in which the 10-year Treasury yield is lower than the 3-month T-bill
yield is generally viewed as a powerful predictive signal of an upcoming recession.
Although Chandlers’ six-month forecast does not call for a recession, they believe
downside risks to the economy are building. Notably, sovereign 10 -year bond yields
around the world were under pressure in June and the yields on both the 10 -year
German Bund and 10-year Japanese Government Bond remained negative at month-
end.
City of Dublin Portfolio
The City's portfolio managed by Chandler has maintained a healthy balance of
investment types with minimal change from the prior quarter as shown below in Chart 1.
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Chart 1: Investments by Type
March 31, 2019 - June 30, 2019
The market value of the City's portfolio increased by $5.08 million from the March 31,
2019 quarter, due to the receipt of property tax payments, which is the City’s largest
revenue source, partially offset by expenditures on two large-scale Capital Improvement
Projects (Dublin Boulevard Widening and the Police Services Building). The City’s
portfolio also increased $35.53 million from the same quarter the prior year due to the
excess of revenues over expenditures in Fiscal Year 2019-20 and the timing of
payments on capital improvement projects (see Table 1 below). Overall market yield-to-
maturity (YTM) decreased from 2.46% to 2.13% as shown in Table 2 below, as rates
have been in steady decreasing as discussed in the Economic Update Highlights. For
detailed monthly transactions, see Attachment 2.
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Table 1: Portfolio Values and Yield to Maturity
Table 2: Quarterly Holdings (Market Value) by Type, and YTM, 5 Quarters
Funds Managed by the City
The City participates in two local agency investment pools managed by government
finance professionals and treasurers: the Local Agency Investment Fund (LAIF) and the
California Asset Management Program (CAMP). The City has typically carried close to
the $50 million maximum allowable in LAIF with any excesses deposited into CAMP.
LAIF quarterly rates are currently the highest measured since 2011, as shown below.
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Table 3: Quarterly LAIF Yields, Recent Eight Years and 2 Quarters
While the LAIF yield is currently at a high point, Chandler still advocates investing
monies not needed for the next 18 months in a longer maturity strategy, as historically,
over an investment cycle, the total return of a longer maturity investment strategy will be
superior to a shorter maturity mandate. Accordingly, Staff will continue to look to the
locally invested funds for short term needs while positioning the bulk of City funds for
higher earnings over the long term.
STRATEGIC PLAN INITIATIVE:
Strategy 1: Assure the City's long-term financial sustainability.
NOTICING REQUIREMENTS/PUBLIC OUTREACH:
None.
ATTACHMENTS:
1. City of Dublin Investment Report for Period Ending June 30, 2019
2. Transaction Ledger - April - June 2019
CHANDLER ASSET MANAGEMENT, INC. | 800.317.4747 | www.chandlerasset.com
INVESTMENT REPORT
Period Ending June 30, 2019
City of Dublin
SECTION 1 Economic Update
SECTION 2 Account Profile
SECTION 3 Consolidated Information
SECTION 4 Portfolio Holdings
SECTION 5 Transactions
Table of Contents As of June 30, 2019
1
SECTION |Section 1 |Economic Update
2
The Federal Open Market Committee (FOMC) kept the target fed funds rate unchanged in June at a range of 2.25%-2.50%.In
the policy statement, the Fed noted that market-based measures of inflation have declined and uncertainties about the
economic outlook have increased. With regard to future policy adjustments, the Fed removed the word “patient”from the
policy statement, and indicated they are prepared to act as appropriate to incoming data in order to sustain the economic
expansion. The Fed did not make any changes to their balance sheet normalization program, and the runoff remains on
track to end in September. There was one dissenting vote amongst the FOMC members, James Bullard, who was in favor of
lowering the fed funds rate by 25 basis points.
Economic Update
▪
▪
▪
In ourview,US domesticeconomicdataremains consistent with aslow growth environment; the US labormarket is strong,
wages are growing modestly, and inflation remains contained. However, headwinds to the economy have increased.
Ongoing global trade disputes, slowing global economic growth,an uncertain outlook for Brexit, and geopolitical tensions
have made the outlook uncertain. The trajectory of economic growth is likely to hinge on the outcome of ongoing trade
negotiations as well as policy action by the majorglobal central banks.We believe there is ahigh level of political pressure
to make progress toward atrade agreement with Chinabefore the election cycle heats up this fall.We also believe adovish
collective stance by major global central banks should help to combat the headwinds to global economic growth.
Treasury yields declined further in June.At month-end, the 3-month T-bill yield was down 25 basis points to 2.09%, the 2-
yearTreasury yield was down 17 basis point to 1.76%, and the 10-year Treasury yield was down 12 basis points to 2.01%.An
inversion of the yield curve in which the 10-yearTreasury yield is lowerthan the 3-month T-bill yield is generally viewed as
a powerful predictive signal of an upcoming recession. Although our 6-month forecast does not call for a recession,we
believe downside risks to the economy are building. Notably, sovereign 10-yearbond yields around the world were under
pressure in June and the yields on both the 10-year German Bund and 10-year Japanese Government Bond remained
negative at month-end.
Source: Bloomberg
3
U.S. nonfarm payrolls rose by 224,000 in June, well above the consensus forecast of 165,000. April and May payrolls were revised down by a total
of just 11,000.On a trailing 3-month basis payrolls increased an average of 171,000, more than enough to absorb new entrants into the labor
market. The unemployment rate ticked up to 3.7%in June from 3.6%in May as the participation rate also increased to 62.9% from 62.8%. A
broader measure of unemployment called the U-6, which includes those who are marginally attached to the labor force and employed part time
for economic reasons, also edged up to 7.2%in June from 7.1%in May. Wages rose 0.2%in June (slightly below expectations), following and
upwardly revised 0.3% increase in May. On a year-over-year basis, wages were up 3.1% in June, versus up 3.2% in May.
Source: US Department of Labor Source: US Department of Labor
0
50
100
150
200
250
300
350
MOM Change In (000's)Nonfarm Payroll (000's)
2.0%
3.0%
4.0%
5.0%
6.0%
7.0%
8.0%
9.0%
10.0%
11.0%
Unemployment Rate
Underemployment Rate (U6)
Unemployment Rate (U3)Rate (%)Employment
4
The Consumer Price Index (CPI) was up just 1.6% year-over-year in June, versus up 1.8% year-over-year in May. Core CPI (CPI less food and
energy) was up 2.1% year-over-year in June, versus up 2.0% year-over-year in May. The Personal Consumption Expenditures (PCE) index was up
1.5% year-over-year in May, versus up 1.6% year-over-year in April. Core PCE, which is the Fed's primary inflation gauge, was up 1.6% year-over-
year in May, unchanged from April, remaining below the Fed’s 2.0% inflation target.
Source: US Department of Labor Source: US Department of Commerce
0.0%
0.5%
1.0%
1.5%
2.0%
2.5%
3.0%
3.5%
Consumer Price Index (CPI)
CPI YOY % Change
Core CPI YOY % ChangeYOY( %) Change0.0%
0.5%
1.0%
1.5%
2.0%
2.5%
3.0%
3.5%
Personal Consumption Expenditures (PCE)
PCE Price Deflator YOY % Change
PCE Core Deflator YOY % ChangeYOY( %) ChangeInflation
5
Retail sales in June were stronger than expected,up 0.4%in the month versus expectations of 0.1%, following an increase of 0.4%in May.
Excluding autos and gas, retail sales were even stronger in June, up 0.7% (outpacing expectations of 0.4%). On a year-over-year basis, total retail
sales were up 3.4% year-over-year in June, versus 2.9% year-over-year in May. The Consumer Confidence Index declined to 121.5 in June from
131.3 in May, falling below expectations, largely driven by concerns regarding the escalation in trade and tariff tensions. Despite the sharp
decline in confidence in June, the index remains strong relative to longer-term historical levels.
Source: US Department of Commerce Source: The Conference Board
0.0%
1.0%
2.0%
3.0%
4.0%
5.0%
6.0%
7.0%
Retail Sales YOY % Change
YOY (%) Change100
105
110
115
120
125
130
135
140
145
Index LevelConsumer Confidence
Consumer
6
The Leading Economic Index (LEI) declined 0.3%in June,on a month-over-month basis, following a 0.1% increase in May.It was the first
monthly contraction since December 2018.On a year-over-year basis, the index was up just 1.6%in June (the slowest pace since December
2016)versus up 2.5%in May. The Conference Board believes that economicgrowth will remain slow in the second half of the year. The Chicago
Fed National Activity Index (CFNAI) remained negative in June at -0.02versus -0.03 in May.On a3-month movingaverage basis, the index was
little changed at -0.26 in June versus -0.27 in May. The CFNAI suggests that the economy is slowing but is not indicative of a recession. Negative
values are generally consistent with below-average growth. Periods of economic contraction have historically been associated with values
below -0.70 on a 3-month moving average basis.
-0.4%
-0.2%
0.0%
0.2%
0.4%
0.6%
0.8%
1.0%
1.2%
Leading Economic Indicators (LEI)MOM ( %) Change-0.70
-0.50
-0.30
-0.10
0.10
0.30
0.50
0.70
Chicago Fed National Activity Index (CFNAI)3 Month AverageSource: The Conference Board Source: Federal Reserve Bank of Chicago
Economic Activity
7
Housing starts were nearly in line with expectations in June, down 0.9%to a 1.253 million annualized rate. Multi-family starts fell 9.2%to an
annualized rate of 406,000, while single-family starts rose 3.5%to an annualized rate of 847,000. Total housing starts were up 6.2% year-over-
year in June, driven by growth in multi-family starts. According to the Case-Shiller20-City home price index, home prices were up just 2.5% year-
over-year in April, versus up 2.6% in March. The year-over-year pace of growth is at a 7-year low.
Source: US Department of Commerce Source: S&P
0
200
400
600
800
1000
1200
1400
1600
1800
MOM Change (In Thousands of Units)Housing Starts
Multi Family Housing Starts
Single Family Housing Starts
1.5%
2.5%
3.5%
4.5%
5.5%
6.5%
7.5%
S&P/Case -Shiller 20 City Composite Home Price Index YOY( %) ChangeHousing
8
The Institute for Supply Management (ISM) manufacturing index decreased to 51.7 in June from 52.1 in May. The June reading was slightly
better than expected but still came in at the lowest level since October 2016.Nevertheless, a reading above 50.0 suggests the manufacturing
sector is expanding. The Industrial Production index was up 1.3% year-over-year in June versus up 2.1% year-over-year in May.On amonth-over-
month basis, production was flat, just below the consensus forecast of 0.1%. However, the manufacturing component of the index increased
0.4%in June, exceeding expectations of 0.2%, following a 0.2% increase in May. Capacity Utilization decreased to 77.9%in June from 78.1%in
May, and remains below the long-run average of 79.8% indicating there is still excess capacity for growth.
Source: Institute for Supply Management Source: Federal Reserve
48
50
52
54
56
58
60
62
64
Institute of Supply Management Purchasing
Manager Index
EXPANDING
CONTRACTING
0.0%
1.0%
2.0%
3.0%
4.0%
5.0%
6.0%
Industrial Production
YOY( %) ChangeManufacturing
9
According to the third estimate, first quarterGDP grew at an annualized pace of 3.1%, unchanged from the second estimate and in line with the
consensus. Despite the government shutdown and ongoing global trade disputes, GDP growth accelerated in the first quarter from 2.2%in the
fourth quarter. Net exports and state and local government spending advanced in the first quarter, while consumer spending and business
investment moderated. Residential investment contracted in the quarter. The consensus estimate for second quarter GDP growth is 1.8%.
Overall, the consensus view calls for GDP growth of 2.5% this year versus 2.9% last year, which is consistent with moderate economic growth.
Source: US Department of Commerce Source: US Department of Commerce
6/18 9/18 12/18 3/19
2.6% 2.4% 1.7% 0.6%
-0.1% 2.5% 0.7% 1.1%
1.2% -2.0% -0.1% 0.9%
0.2% 0.2% 0.1% 0.0%
0.2% 0.2% -0.1% 0.5%
4.2% 3.4% 2.2% 3.1%
Net Exports and Imports
Personal Consumption
Expenditures
Gross Private Domestic
Investment
Federal Government
Expenditures
State and Local (Consumption
and Gross Investment)
Components of GDP
Total
-2.0%
-1.0%
0.0%
1.0%
2.0%
3.0%
4.0%
5.0%
6.0%
Gross Domestic Product (GDP)
GDP QOQ % Change
GDP YOY % Change
Gross Domestic Product (GDP)
10
Source: Bloomberg
The shape of the Treasury yield curve has changed significantly on ayear-over-yearbasis.As of month-end in June, the 3-month T-bill yield was
up nearly 18 basis points, the 2-Year Treasury yield was down 77 basis points, and the 10-Year Treasury yield was down nearly 86 basis points,
year-over-year. The current shape of the yield curve implies thatmarket participants are pricing-in multiple rate cuts.We believe the decline in
long-term Treasury yields reflects a high level of market participants'nervousness about the outlook for global economic growth and adecline
in global inflation expectations.
Source: Bloomberg
0.0%
0.5%
1.0%
1.5%
2.0%
2.5%
3.0%
3.5%
4.0%
US Treasury Note Yields
2-Year
5-Year
10-YearYield (%)0.0%
0.5%
1.0%
1.5%
2.0%
2.5%
3.0%
3.5%
4.0%
US Treasury Yield Curve
Jun-19
Mar-19
Jun-18Yield (%)Bond Yields
11
Section 2|SECTION |Section 2 |Account Profile
12
Objectives
Chandler Asset Management Performance Objective
The performance objective of the City of Dublin is to earn a return that equals or exceeds the return on of
the ICE BAML 1-5 Year Treasury and Agency Index.
Investment Objectives
The investment objectives of the City of Dublin are first,to provide safety of principal;second,to provide
adequate liquidity to meet all requirements which might be reasonably anticipated;third,to attain a
market average rate of return on its investments throughout economic cycles;and fourth,to be diversified
to avoid incurring unreasonable and avoidable risks regarding specific security types or individual financial
institutions.
Strategy
In order to achieve this objective,the portfolio invests in high quality fixed income instruments consistent
with the City's investment policy and California Government Code.
As of June 30, 2019
13
Compliance As of June 30, 2019
Category Standard Comment
Treasury Issues No limitations Complies
Agency Issues 35% max per issuer; 25% max callables Complies
Supranationals "AA" rated or equivalent by a NRSRO; 30% maximum; 5% max per issuer; USD denominated senior unsecured
unsubordinated obligations issued by: IBRD, IFC, IADB Complies
Municipal Securities "A" rated or higher by a NRSRO; 5% max per issuer Complies
Medium Term Notes "A" rated or higher by a NRSRO; 30% maximum; 5% max per issuer; Issued by corporations organized and operating
within the U.S. or by depository institutions licensed by the U.S. or any state and operating within the U.S.Complies
Banker’s Acceptances "A-1" rated or higher by a NRSRO; 40% maximum; 5% max per issuer; 20% max amount invested in BA with any one
financial institution in combination with any other debt from that financial institution; 180 days max maturity Complies
Commercial Paper "A-1" rated or higher by a NRSRO; 25% maximum; 5% max per issuer; 20% max amount invested in CP of any one
issuer in combination with any other debt from that issuer; 270 days max maturity Complies
Negotiable Certificates of Deposit
"A" or better long term debt rating and/or "A-1" or higher short term rating by a NRSRO; 30% maximum; 5% max per
issuer; 20% max amount invested in NCDs with any one financial institution in combination with any other debt from
that financial institution.
Complies
Time Deposits/ Certificates of Deposit 10% max; Collateralized/FDIC Insured; 1 year max maturity Complies
Asset-Backed and Mortgage-Backed
Securities (ABS/MBS)
"AA" rated or higher by a NRSRO; "A" rated or higher for the issuer's debt by a NRSRO; 20% maximum; 5% max per
issue Complies
Money Market Mutual Funds and
Mutual Funds
Highest rating or "AAA" rated by two NRSROs; SEC registered adviser with AUM >$500 million and experience greater
than 5 years; 10% per one Mutual Fund; 20% maximum in Money Market Mutual Funds; 20% maximum combined of
total portfolio in these securities
Complies
LAIF Max program limit Complies
CAMP Not used by adviser Complies
Max Per Issuer 5% (except US Government, Agencies and its instrumentalities including agency backed-mortgage pools, Money
Market Mutual Funds)Complies
Maximum Maturity 5 years Complies
City of Dublin
Assets managed by Chandler Asset Management are in full compliance with state law and with the City's investment policy.
14
Portfolio Characteristics
City of Dublin
6/30/2019 3/31/2019
Benchmark*Portfolio Portfolio
Average Maturity (yrs)2.65 2.67 2.58
Average Modified Duration 2.53 2.42 2.34
Average Purchase Yield n/a 2.22%2.17%
Average Market Yield 1.78%1.98%2.44%
Average Quality**AAA AA/Aa1 AA/Aa1
Total Market Value 190,536,677 187,225,366
*ICE BAML 1-5 Yr US Treasury/Agency Index
**Benchmark is a blended rating of S&P, Moody’s, and Fitch. Portfolio is S&P and Moody’s respectively.
As of June 30, 2019
15
City of Dublin
Sector Distribution
ABS
6.0%
Agency
33.4%
Commercial
Paper
2.0%
Foreign
Corporate
2.1%
Money Market
Fund FI
0.2%
Supranational
2.4%
US Corporate
23.6%
US Treasury
30.4%
June 30, 2019 March 31, 2019
ABS
6.5%
Agency
32.0%
Commercial
Paper
2.0%
Foreign
Corporate
2.0%
Money Market
Fund FI
0.2%
Supranational
2.4%
US Corporate
22.5%
US Treasury
32.4%
As of June 30, 2019
16
Issue Name Investment Type % Portfolio
Government of United States US Treasury 30.43%
Federal Home Loan Bank Agency 15.35%
Federal National Mortgage Association Agency 12.83%
Federal Home Loan Mortgage Corp Agency 5.22%
MUFG Bank Ltd/NY Commercial Paper 1.99%
Honda ABS ABS 1.91%
John Deere ABS ABS 1.89%
Honda Motor Corporation US Corporate 1.51%
Bank of America Corp US Corporate 1.32%
Inter-American Dev Bank Supranational 1.32%
Apple Inc US Corporate 1.30%
Toronto Dominion Holdings Foreign Corporate 1.26%
Boeing Company US Corporate 1.24%
JP Morgan Chase & Co US Corporate 1.22%
PNC Financial Services Group US Corporate 1.22%
Oracle Corp US Corporate 1.18%
IBM Corp US Corporate 1.09%
Charles Schwab Corp/The US Corporate 1.07%
US Bancorp US Corporate 1.07%
ChevronTexaco Corp US Corporate 1.07%
Intl Bank Recon and Development Supranational 1.06%
Bank of New York US Corporate 1.06%
Chubb Corporation US Corporate 1.05%
Qualcomm Inc US Corporate 1.05%
Toyota ABS ABS 1.05%
Berkshire Hathaway US Corporate 1.00%
Microsoft US Corporate 0.97%
Exxon Mobil Corp US Corporate 0.95%
State Street Bank US Corporate 0.94%
Deere & Company US Corporate 0.93%
HSBC Holdings PLC Foreign Corporate 0.80%
Wal-Mart Stores US Corporate 0.76%
Nissan ABS ABS 0.65%
General Dynamics Corp US Corporate 0.61%
HSBC Holdings PLC US Corporate 0.53%
American Express ABS ABS 0.52%
Merck & Company US Corporate 0.40%
First American Govt Oblig Fund Money Market Fund FI 0.17%
TOTAL 100.00%
Issuers
City of Dublin –Account #10198
As of June 30, 2019
17
AAA AA A <A NR
06/30/19 4.5%72.5%18.0%0.0%5.0%
03/31/19 4.9%71.8%18.2%0.0%5.1%
Source: S&P Ratings
June 30, 2019 vs. March 31, 2019
0.0%
10.0%
20.0%
30.0%
40.0%
50.0%
60.0%
70.0%
80.0%
AAA AA A <A NR
6/30/2019 3/31/2019
Quality Distribution
City of Dublin
As of June 30, 2019
18
0.0%
5.0%
10.0%
15.0%
20.0%
25.0%
30.0%
35.0%
40.0%
0 - 0.25 0.25 - 0.50 0.50 - 1 1 - 2 2 - 3 3 - 4 4 - 5 5+
City of Dublin ICE BAML 1-5 Yr US Treasury/Agency Index
Portfolio Compared to the Benchmark as of June 30, 2019
0 -0.25 0.25 -0.50 0.50 - 1 1 - 2 2 - 3 3 - 4 4 - 5 5+
Portfolio 5.2% 2.5% 10.6% 23.5% 19.4% 23.9% 14.9% 0.0%
Benchmark*0.3% 0.1% 1.8% 33.6% 27.8% 22.1% 14.3% 0.0%
*ICE BAML 1-5 Yr US Treasury/Agency Index
Duration Distribution
City of Dublin
As of June 30, 2019
19
0.00%
1.00%
2.00%
3.00%
4.00%
5.00%
6.00%
12 months 2 years 3 years 5 years 10 years Since Inception
City of Dublin ICE BAML 1-5 Yr US Treasury/Agency Index
Total Rate of Return Annualized Since Inception 10/31/2013
Annualized
TOTAL RATE OF RETURN 3 months 12 months 2 years 3 years 5 years 10 years Since
Inception
City of Dublin 1.77%4.86%2.38%1.59%1.64%N/A 1.54%
ICE BAML 1-5 Yr US Treasury/Agency Index 1.82%4.87%2.24%1.32%1.50%N/A 1.39%
*ICE BAML 1-3 Yr US Treasury/Agency Index to 12/31/2014
Total rate of return: A measure of a portfolio’s performance over time.It is the internal rate of return,which equates the beginning value of the portfolio with the
ending value;it includes interest earnings,realized and unrealized gains and losses in the portfolio.
Investment Performance
City of Dublin
As of June 30, 2019
20
Portfolio Characteristics
City of Dublin Reporting Account
6/30/2019
Portfolio
3/31/2019
Portfolio
Average Maturity (yrs)0.00 0.00
Modified Duration 0.00 0.00
Average Purchase Yield 2.43%2.52%
Average Market Yield 2.43%2.52%
Average Quality*AAA/NR AAA/NR
Total Market Value 99,297,122 97,524,685
*Portfolio is S&P and Moody’s, respectively.
As of June 30, 2019
21
City of Dublin Reporting Account
Sector Distribution
LAIF
49.4%
Local Gov
Investment Pool
50.6%
June 30, 2019 March 31, 2019
LAIF
50.0%
Local Gov
Investment Pool
50.0%
As of June 30, 2019
22
Issue Name Investment Type % Portfolio
CAMP Local Gov Investment Pool 50.60%
Local Agency Investment Fund LAIF 49.40%
TOTAL 100.00%
Issuers
City of Dublin Reporting Account –Account #10219
As of June 30, 2019
23
SECTION |Section 3 |Consolidated Information
24
Portfolio Characteristics
City of Dublin Consolidated
6/30/2019 3/31/2019
Portfolio Portfolio
Average Maturity (yrs)1.76 1.70
Modified Duration 1.59 1.54
Average Purchase Yield 2.29%2.29%
Average Market Yield 2.13%2.47%
Average Quality*AA+/Aa1 AA+/Aa1
Total Market Value 289,833,799 284,750,051
* Portfolio is S&P and Moody’s respectively.
As of June 30, 2019
25
City of Dublin Consolidated
Sector Distribution
ABS
4.0%
Agency
22.0%
Commercial
Paper
1.3%
Foreign
Corporate
1.4%
LAIF
16.9%
Local Gov
Investment Pool
17.3%
Money Market
Fund FI
0.1%
Supranational
1.6%
US Corporate
15.5%
US Treasury
20.0%
June 30, 2019 March 31, 2019
ABS
4.3%
Agency
21.1%
Commercial
Paper
1.3%
Foreign
Corporate
1.3%
LAIF
17.1%
Local Gov
Investment Pool
17.1%
Money Market
Fund FI
0.1%
Supranational
1.6%
US Corporate
14.8%
US Treasury
21.3%
As of June 30, 2019
26
SECTION |Section 4 |Portfolio Holdings
27
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
ABS
43814QAC2 Honda Auto Receivables 2016-2 A3
1.390% Due 04/15/2020
3,028.16 05/24/2016
1.09%
3,028.10
3,028.15
99.93
3.41%
3,026.15
1.87
0.00%
(2.00)
Aaa / NR
AAA
0.79
0.03
89238BAB8 Toyota Auto Receivables Owner 2018-A A2A
2.100% Due 10/15/2020
658,655.63 01/23/2018
1.54%
658,588.31
658,623.47
99.93
2.49%
658,187.24
614.75
0.35%
(436.23)
Aaa / AAA
NR
1.30
0.19
43814WAB1 HAROT 2019-1 A2
2.750% Due 09/20/2021
1,625,000.00 02/19/2019
2.77%
1,624,895.35
1,624,909.21
100.36
2.35%
1,630,863.00
1,613.72
0.86%
5,953.79
NR / AAA
AAA
2.23
0.87
47788BAD6 John Deere Owner Trust 2017-B A3
1.820% Due 10/15/2021
259,367.81 07/11/2017
1.65%
259,348.83
259,357.56
99.74
2.27%
258,700.93
209.80
0.14%
(656.63)
Aaa / NR
AAA
2.30
0.58
89239AAB9 Toyota Auto Receivables 2019-A A2A
2.830% Due 10/15/2021
1,335,000.00 02/05/2019
2.85%
1,334,878.78
1,334,895.94
100.43
2.26%
1,340,709.80
1,679.13
0.70%
5,813.86
Aaa / AAA
NR
2.30
0.72
47789JAB2 John Deere Owner Trust 2019-A A2
2.850% Due 12/15/2021
1,205,000.00 03/05/2019
2.87%
1,204,945.05
1,204,951.05
100.59
2.20%
1,212,092.63
1,526.33
0.64%
7,141.58
Aaa / NR
AAA
2.46
0.88
47788CAC6 John Deere Owner Trust 2016-B A4
2.660% Due 04/18/2022
515,000.00 02/21/2018
2.68%
514,962.97
514,974.94
100.46
2.21%
517,358.70
608.84
0.27%
2,383.76
Aaa / NR
AAA
2.80
0.97
43814UAG4 Honda Auto Receivables 2018-2 A3
3.010% Due 05/18/2022
610,000.00 05/22/2018
2.25%
609,986.70
609,990.34
101.25
2.11%
617,594.50
663.04
0.32%
7,604.16
NR / AAA
AAA
2.88
1.34
43815HAC1 Honda Auto Receivables Owner 2018-3 A3
2.950% Due 08/22/2022
1,360,000.00 08/21/2018
2.40%
1,359,813.41
1,359,852.78
101.25
2.10%
1,377,005.44
1,114.44
0.72%
17,152.66
Aaa / NR
AAA
3.15
1.44
02582JHE3 American Express Credit 2017-3 A
1.770% Due 11/15/2022
1,000,000.00 06/28/2018
2.29%
980,625.00
985,069.14
99.66
2.22%
996,563.00
786.67
0.52%
11,493.86
NR / AAA
AAA
3.38
0.77
47788EAC2 John Deere Owner Trust 2018-B A3
3.080% Due 11/15/2022
1,585,000.00 07/18/2018
3.10%
1,584,879.86
1,584,905.89
101.35
2.13%
1,606,364.18
2,169.69
0.84%
21,458.29
Aaa / NR
AAA
3.38
1.38
65479GAD1 Nissan Auto Receivables Owner 2018-B A3
3.060% Due 03/15/2023
1,220,000.00 07/17/2018
3.08%
1,219,960.47
1,219,968.43
101.62
2.13%
1,239,728.60
1,659.20
0.65%
19,760.17
Aaa / AAA
NR
3.71
1.70
TOTAL ABS 11,376,051.60 2.66%
11,355,912.83
11,360,526.90 2.21%
11,458,194.17
12,647.48
6.02%
97,667.27
Aaa / AAA
Aaa
2.80
1.06
Agency
3135G0ZG1 FNMA Note
1.750% Due 09/12/2019
2,500,000.00 10/28/2014
1.68%
2,508,350.00
2,500,342.64
99.90
2.26%
2,497,425.00
13,246.53
1.32%
(2,917.64)
Aaa / AA+
AAA
0.20
0.20
3137EADM8 FHLMC Note
1.250% Due 10/02/2019
2,500,000.00 12/18/2015
1.64%
2,464,700.00
2,497,622.81
99.76
2.20%
2,493,937.50
7,725.69
1.31%
(3,685.31)
Aaa / AA+
AAA
0.26
0.25
3135G0A78 FNMA Note
1.625% Due 01/21/2020
2,000,000.00 04/07/2015
1.44%
2,016,580.00
2,001,933.86
99.74
2.09%
1,994,828.00
14,444.44
1.05%
(7,105.86)
Aaa / AA+
AAA
0.56
0.55
As of June 30, 2019
28
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
313383HU8 FHLB Note
1.750% Due 06/12/2020
2,000,000.00 10/08/2015
1.46%
2,026,040.00
2,005,290.33
99.75
2.02%
1,994,960.00
1,847.22
1.05%
(10,330.33)
Aaa / AA+
NR
0.95
0.94
3137EAEK1 FHLMC Note
1.875% Due 11/17/2020
2,400,000.00 11/28/2017
1.91%
2,397,336.00
2,398,758.93
99.97
1.90%
2,399,244.00
5,500.00
1.26%
485.07
Aaa / AA+
AAA
1.39
1.35
3135G0F73 FNMA Note
1.500% Due 11/30/2020
2,500,000.00 12/04/2015
1.87%
2,455,750.00
2,487,405.77
99.51
1.85%
2,487,737.50
3,229.17
1.31%
331.73
Aaa / AA+
AAA
1.42
1.39
3130A7CV5 FHLB Note
1.375% Due 02/18/2021
3,470,000.00 Various
1.45%
3,457,221.20
3,465,795.77
99.27
1.83%
3,444,523.26
17,627.12
1.82%
(21,272.51)
Aaa / AA+
AAA
1.64
1.60
3135G0J20 FNMA Note
1.375% Due 02/26/2021
5,000,000.00 Various
1.29%
5,018,675.00
5,006,735.25
99.23
1.85%
4,961,550.00
23,871.52
2.62%
(45,185.25)
Aaa / AA+
AAA
1.66
1.62
313379RB7 FHLB Note
1.875% Due 06/11/2021
3,000,000.00 08/30/2017
1.67%
3,022,620.00
3,011,654.22
100.03
1.86%
3,000,795.00
3,125.00
1.58%
(10,859.22)
Aaa / AA+
AAA
1.95
1.90
3130A8QS5 FHLB Note
1.125% Due 07/14/2021
2,500,000.00 07/25/2016
1.28%
2,481,475.00
2,492,402.09
98.75
1.75%
2,468,845.00
13,046.88
1.30%
(23,557.09)
Aaa / AA+
AAA
2.04
1.99
3137EAEC9 FHLMC Note
1.125% Due 08/12/2021
3,000,000.00 Various
1.33%
2,971,215.00
2,987,638.26
98.58
1.81%
2,957,352.00
13,031.26
1.56%
(30,286.26)
Aaa / AA+
AAA
2.12
2.07
3135G0Q89 FNMA Note
1.375% Due 10/07/2021
2,000,000.00 10/06/2016
1.45%
1,992,924.00
1,996,787.51
99.00
1.82%
1,980,098.00
6,416.67
1.04%
(16,689.51)
Aaa / AA+
AAA
2.27
2.22
3135G0S38 FNMA Note
2.000% Due 01/05/2022
2,500,000.00 01/30/2017
2.04%
2,495,475.00
2,497,689.74
100.52
1.79%
2,513,115.00
24,444.44
1.33%
15,425.26
Aaa / AA+
AAA
2.52
2.42
313378CR0 FHLB Note
2.250% Due 03/11/2022
2,000,000.00 06/19/2017
1.86%
2,035,280.00
2,020,124.94
101.23
1.78%
2,024,650.00
13,750.00
1.07%
4,525.06
Aaa / AA+
NR
2.70
2.59
3135G0T45 FNMA Note
1.875% Due 04/05/2022
3,250,000.00 05/05/2017
1.99%
3,232,125.00
3,239,940.95
100.18
1.81%
3,255,824.00
14,557.29
1.72%
15,883.05
Aaa / AA+
AAA
2.77
2.67
3135G0T94 FNMA Note
2.375% Due 01/19/2023
2,500,000.00 03/28/2018
2.70%
2,463,675.00
2,473,164.57
101.97
1.80%
2,549,137.50
26,718.75
1.35%
75,972.93
Aaa / AA+
AAA
3.56
3.36
313383QR5 FHLB Note
3.250% Due 06/09/2023
1,500,000.00 08/28/2018
2.87%
1,525,005.00
1,520,620.17
105.25
1.86%
1,578,772.50
2,979.17
0.83%
58,152.33
Aaa / AA+
NR
3.95
3.70
3137EAEN5 FHLMC Note
2.750% Due 06/19/2023
2,000,000.00 07/16/2018
2.88%
1,988,360.00
1,990,619.38
103.54
1.82%
2,070,790.00
1,833.33
1.09%
80,170.62
Aaa / AA+
AAA
3.97
3.75
313383YJ4 FHLB Note
3.375% Due 09/08/2023
5,000,000.00 Various
2.90%
5,102,615.00
5,091,497.41
106.35
1.79%
5,317,600.00
52,968.76
2.82%
226,102.59
Aaa / AA+
NR
4.19
3.88
3130A0F70 FHLB Note
3.375% Due 12/08/2023
5,000,000.00 Various
2.73%
5,147,870.00
5,133,443.17
106.39
1.87%
5,319,355.00
10,781.25
2.80%
185,911.83
Aaa / AA+
AAA
4.44
4.12
3135G0V34 FNMA Note
2.500% Due 02/05/2024
2,000,000.00 02/27/2019
2.58%
1,992,340.00
1,992,862.56
103.00
1.82%
2,060,098.00
19,861.11
1.09%
67,235.44
Aaa / AA+
AAA
4.61
4.30
As of June 30, 2019
29
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
3130A1XJ2 FHLB Note
2.875% Due 06/14/2024
3,795,000.00 Various
1.96%
3,958,639.85
3,957,473.08
104.71
1.87%
3,973,869.74
5,152.24
2.09%
16,396.66
Aaa / AA+
NR
4.96
4.61
TOTAL Agency 62,415,000.00 1.98%
62,754,271.05
62,769,803.41 1.88%
63,344,507.00
296,157.84
33.40%
574,703.59
Aaa / AA+
Aaa
2.62
2.49
Commercial Paper
62479MVK6 MUFG Bank Ltd/NY Discount CP
2.350% Due 08/19/2019
3,800,000.00 06/20/2019
2.39%
3,785,116.67
3,787,845.28
99.68
2.39%
3,787,845.28
0.00
1.99%
0.00
P-1 / A-1
NR
0.14
0.14
TOTAL Commercial Paper 3,800,000.00 2.39%
3,785,116.67
3,787,845.28 2.39%
3,787,845.28
0.00
1.99%
0.00
P-1 / A-1
NR
0.14
0.14
Foreign Corporate
404280BF5 HSBC Holdings PLC Note
2.650% Due 01/05/2022
1,500,000.00 01/12/2018
2.89%
1,486,320.00
1,491,323.73
100.39
2.49%
1,505,824.50
19,433.33
0.80%
14,500.77
A2 / A
AA-
2.52
2.39
89114QCB2 Toronto Dominion Bank Note
3.250% Due 03/11/2024
2,300,000.00 03/26/2019
2.95%
2,331,234.00
2,329,594.65
103.52
2.45%
2,380,989.90
22,840.28
1.26%
51,395.25
Aa3 / A
AA-
4.70
4.31
TOTAL Foreign Corporate 3,800,000.00 2.93%
3,817,554.00
3,820,918.38 2.47%
3,886,814.40
42,273.61
2.06%
65,896.02
A1 / A
AA-
3.85
3.56
Money Market Fund FI
31846V203 First American Govt Obligation Fund Class Y 317,900.01 Various
1.99%
317,900.01
317,900.01
1.00
1.99%
317,900.01
0.00
0.17%
0.00
Aaa / AAA
AAA
0.00
0.00
TOTAL Money Market Fund FI 317,900.01 1.99%
317,900.01
317,900.01 1.99%
317,900.01
0.00
0.17%
0.00
Aaa / AAA
Aaa
0.00
0.00
Supranational
459058FY4 Intl. Bank Recon & Development Note
2.000% Due 01/26/2022
2,000,000.00 10/26/2017
2.12%
1,990,320.00
1,994,125.76
100.53
1.79%
2,010,630.00
17,222.22
1.06%
16,504.24
Aaa / NR
AAA
2.58
2.48
4581X0CZ9 Inter-American Dev Bank Note
1.750% Due 09/14/2022
2,500,000.00 11/28/2017
2.18%
2,451,675.00
2,467,645.18
99.85
1.80%
2,496,305.00
13,003.47
1.32%
28,659.82
NR / NR
AAA
3.21
3.09
TOTAL Supranational 4,500,000.00 2.15%
4,441,995.00
4,461,770.94 1.79%
4,506,935.00
30,225.69
2.38%
45,164.06
Aaa / NR
Aaa
2.93
2.81
US Corporate
02665WAH4 American Honda Finance Note
2.250% Due 08/15/2019
1,800,000.00 Various
2.08%
1,812,627.00
1,800,365.91
99.93
2.78%
1,798,749.00
15,300.00
0.95%
(1,616.91)
A2 / A
NR
0.13
0.12
As of June 30, 2019
30
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
06406HCW7 Bank of New York Callable Note Cont 8/11/2019
2.300% Due 09/11/2019
750,000.00 04/22/2015
1.82%
764,722.50
750,385.21
100.00
2.27%
750,020.25
5,270.83
0.40%
(364.96)
A1 / A
AA-
0.20
0.11
68389XAX3 Oracle Corp Note
2.250% Due 10/08/2019
1,250,000.00 Various
1.73%
1,272,172.50
1,251,701.19
100.01
2.21%
1,250,086.25
6,484.38
0.66%
(1,614.94)
A1 / AA-
A
0.27
0.27
40428HPN6 HSBC USA Inc Note
2.375% Due 11/13/2019
1,000,000.00 11/07/2014
2.32%
1,002,440.00
1,000,180.39
99.97
2.44%
999,725.00
3,166.67
0.53%
(455.39)
A2 / A
AA-
0.37
0.37
46625HKA7 JP Morgan Chase Callable Note Cont 12/23/2019
2.250% Due 01/23/2020
1,800,000.00 Various
2.37%
1,790,172.00
1,798,827.49
99.97
2.30%
1,799,449.20
17,775.00
0.95%
621.71
A2 / A-
AA-
0.57
0.55
747525AD5 Qualcomm Inc Note
2.250% Due 05/20/2020
2,000,000.00 Various
2.22%
2,001,128.80
2,000,507.67
99.97
2.29%
1,999,348.00
5,125.00
1.05%
(1,159.67)
A2 / A-
NR
0.89
0.87
24422ESY6 John Deere Capital Corp Note
2.375% Due 07/14/2020
1,000,000.00 09/15/2016
1.69%
1,025,153.50
1,006,843.63
100.14
2.24%
1,001,390.00
11,017.36
0.53%
(5,453.63)
A2 / A
A
1.04
1.01
00440EAT4 Chubb INA Holdings Inc Callable Note Cont 10/3/2020
2.300% Due 11/03/2020
2,000,000.00 Various
2.25%
2,003,489.00
2,001,234.22
100.04
2.26%
2,000,856.00
7,411.11
1.05%
(378.22)
A3 / A
A
1.35
1.23
24422ETF6 John Deere Capital Corp Note
2.550% Due 01/08/2021
750,000.00 Various
2.42%
753,733.15
751,406.37
100.59
2.15%
754,446.00
9,190.62
0.40%
3,039.63
A2 / A
A
1.53
1.47
30231GAV4 Exxon Mobil Corp Callable Note Cont 2/1/2021
2.222% Due 03/01/2021
1,800,000.00 Various
2.06%
1,813,024.00
1,804,558.40
100.28
2.05%
1,804,987.80
13,332.00
0.95%
429.40
Aaa / AA+
NR
1.67
1.62
369550BE7 General Dynamics Corp Note
3.000% Due 05/11/2021
1,130,000.00 05/08/2018
3.24%
1,122,146.50
1,125,127.39
101.62
2.11%
1,148,296.96
4,708.33
0.61%
23,169.57
A2 / A+
NR
1.87
1.80
166764BG4 Chevron Corp Callable Note Cont 4/15/2021
2.100% Due 05/16/2021
1,000,000.00 04/20/2017
2.09%
1,000,190.00
1,000,087.82
100.09
2.05%
1,000,876.00
2,625.00
0.53%
788.18
Aa2 / AA
NR
1.88
1.75
857477AV5 State Street Bank Note
1.950% Due 05/19/2021
1,800,000.00 Various
1.91%
1,802,989.00
1,801,255.20
99.74
2.09%
1,795,309.20
4,095.01
0.94%
(5,946.00)
A1 / A
AA-
1.89
1.84
594918BP8 Microsoft Callable Note Cont 7/8/2021
1.550% Due 08/08/2021
1,850,000.00 Various
1.59%
1,846,471.85
1,848,494.19
99.15
1.96%
1,834,249.10
11,390.35
0.97%
(14,245.09)
Aaa / AAA
AA+
2.11
2.05
68389XBK0 Oracle Corp Callable Note Cont 8/01/21
1.900% Due 09/15/2021
1,000,000.00 06/28/2018
3.08%
964,080.00
975,308.82
99.49
2.14%
994,938.00
5,594.44
0.53%
19,629.18
A1 / AA-
A
2.21
2.14
91159HHP8 US Bancorp Callable Cont 12/23/2021
2.625% Due 01/24/2022
2,000,000.00 05/23/2017
2.35%
2,023,280.00
2,012,614.64
101.07
2.18%
2,021,380.00
22,895.83
1.07%
8,765.36
A1 / A+
AA-
2.57
2.37
808513AT2 Charles Schwab Corp Callable Note Cont 12/25/2022
2.650% Due 01/25/2023
2,000,000.00 05/21/2019
2.74%
1,993,920.00
1,994,096.56
101.24
2.28%
2,024,878.00
22,966.67
1.07%
30,781.44
A2 / A
A
3.58
3.28
44932HAH6 IBM Credit Corp Note
3.000% Due 02/06/2023
2,000,000.00 02/26/2018
3.09%
1,991,340.00
1,993,682.62
102.31
2.33%
2,046,154.00
24,166.67
1.09%
52,471.38
A1 / A
A
3.61
3.36
As of June 30, 2019
31
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
084670BR8 Berkshire Hathaway Callable Note Cont 1/15/2023
2.750% Due 03/15/2023
1,865,000.00 Various
3.34%
1,818,500.75
1,827,096.36
101.62
2.27%
1,895,130.94
15,101.32
1.00%
68,034.58
Aa2 / AA
A+
3.71
3.34
58933YAF2 Merck & Co Note
2.800% Due 05/18/2023
740,000.00 10/26/2018
3.41%
720,996.80
723,788.36
102.41
2.15%
757,816.24
2,474.89
0.40%
34,027.88
A1 / AA
A+
3.88
3.66
46625HRL6 JP Morgan Chase Callable Note Cont 3/18/2023
2.700% Due 05/18/2023
500,000.00 12/20/2018
3.74%
479,055.00
481,519.88
101.03
2.41%
505,126.00
1,612.50
0.27%
23,606.12
A2 / A-
AA-
3.88
3.51
69353RFL7 PNC Bank Callable Note Cont 5/9/2023
3.500% Due 06/08/2023
2,210,000.00 Various
3.53%
2,206,955.80
2,207,598.36
104.55
2.26%
2,310,561.63
4,941.80
1.22%
102,963.27
A2 / A
NR
3.94
3.60
097023BQ7 Boeing Co Callable Note Cont 4/15/2023
1.875% Due 06/15/2023
2,400,000.00 02/13/2019
2.98%
2,293,368.00
2,302,540.65
98.16
2.36%
2,355,876.00
2,000.00
1.24%
53,335.35
A2 / A
A
3.96
3.78
166764AH3 Chevron Corp Callable Note Cont 3/24/2023
3.191% Due 06/24/2023
1,000,000.00 11/08/2018
3.59%
983,170.00
985,468.63
103.79
2.13%
1,037,875.00
620.47
0.55%
52,406.37
Aa2 / AA
NR
3.99
3.51
931142EK5 Wal-Mart Stores Callable Note Cont 5/26/2023
3.400% Due 06/26/2023
1,380,000.00 Various
3.41%
1,379,641.30
1,379,713.83
105.10
2.03%
1,450,418.64
651.66
0.76%
70,704.81
Aa2 / AA
AA
3.99
3.66
02665WCJ8 American Honda Finance Note
3.450% Due 07/14/2023
1,000,000.00 Various
3.54%
996,275.00
996,747.47
104.30
2.33%
1,042,965.00
16,004.17
0.56%
46,217.53
A2 / A
NR
4.04
3.71
06406RAJ6 Bank of NY Mellon Corp Note
3.450% Due 08/11/2023
1,200,000.00 08/24/2018
3.42%
1,201,836.00
1,201,524.42
104.28
2.35%
1,251,339.60
16,100.00
0.67%
49,815.18
A1 / A
AA-
4.12
3.78
06051GHF9 Bank of America Corp Callable Note 1X 3/5/2023
3.550% Due 03/05/2024
2,400,000.00 Various
3.15%
2,434,650.00
2,432,569.05
103.67
2.50%
2,488,029.60
27,453.33
1.32%
55,460.55
A2 / A-
A+
4.68
3.41
037833CU2 Apple Inc Callable Note Cont 3/11/2024
2.850% Due 05/11/2024
2,400,000.00 05/17/2019
2.72%
2,414,208.00
2,413,876.26
103.01
2.17%
2,472,273.60
9,500.00
1.30%
58,397.34
Aa1 / AA+
NR
4.87
4.37
TOTAL US Corporate 44,025,000.00 2.67%
43,911,736.45
43,869,120.99 2.25%
44,592,551.01
288,975.41
23.56%
723,430.02
A1 / A+
A+
2.66
2.41
US Treasury
912828H52 US Treasury Note
1.250% Due 01/31/2020
3,500,000.00 Various
1.53%
3,453,755.22
3,494,488.77
99.51
2.10%
3,482,773.01
18,249.30
1.84%
(11,715.76)
Aaa / AA+
AAA
0.59
0.58
912828XE5 US Treasury Note
1.500% Due 05/31/2020
3,000,000.00 Various
1.67%
2,976,025.68
2,995,523.89
99.54
2.01%
2,986,173.00
3,811.47
1.57%
(9,350.89)
Aaa / AA+
AAA
0.92
0.91
912828XM7 US Treasury Note
1.625% Due 07/31/2020
1,500,000.00 09/08/2015
1.52%
1,507,622.21
1,501,689.09
99.67
1.93%
1,495,020.00
10,167.47
0.79%
(6,669.09)
Aaa / AA+
AAA
1.09
1.06
912828L99 US Treasury Note
1.375% Due 10/31/2020
5,000,000.00 Various
1.69%
4,927,376.14
4,980,200.63
99.35
1.87%
4,967,580.00
11,582.88
2.61%
(12,620.63)
Aaa / AA+
AAA
1.34
1.31
912828N89 US Treasury Note
1.375% Due 01/31/2021
2,000,000.00 03/15/2016
1.49%
1,988,834.83
1,996,365.99
99.30
1.83%
1,985,938.00
11,470.99
1.05%
(10,427.99)
Aaa / AA+
AAA
1.59
1.55
As of June 30, 2019
32
Holdings Report
City of Dublin -Account #10198
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
912828P87 US Treasury Note
1.125% Due 02/28/2021
3,000,000.00 12/28/2018
2.54%
2,911,171.88
2,931,636.08
98.87
1.81%
2,966,133.00
11,280.57
1.56%
34,496.92
Aaa / AA+
AAA
1.67
1.64
912828T34 US Treasury Note
1.125% Due 09/30/2021
1,500,000.00 Various
1.66%
1,463,144.24
1,482,851.44
98.68
1.73%
1,480,195.50
4,241.80
0.78%
(2,655.94)
Aaa / AA+
AAA
2.25
2.20
912828U65 US Treasury Note
1.750% Due 11/30/2021
2,500,000.00 12/28/2016
2.06%
2,464,461.50
2,482,537.29
100.03
1.74%
2,500,780.00
3,705.60
1.31%
18,242.71
Aaa / AA+
AAA
2.42
2.35
912828V72 US Treasury Note
1.875% Due 01/31/2022
1,500,000.00 02/27/2017
1.84%
1,502,407.37
1,501,265.28
100.35
1.74%
1,505,274.00
11,731.70
0.80%
4,008.72
Aaa / AA+
AAA
2.59
2.50
912828J76 US Treasury Note
1.750% Due 03/31/2022
3,000,000.00 04/25/2017
1.85%
2,985,830.37
2,992,096.50
100.06
1.73%
3,001,875.00
13,196.72
1.58%
9,778.50
Aaa / AA+
AAA
2.75
2.66
912828WZ9 US Treasury Note
1.750% Due 04/30/2022
2,750,000.00 05/23/2017
1.84%
2,738,944.75
2,743,656.42
100.09
1.72%
2,752,362.25
8,152.32
1.45%
8,705.83
Aaa / AA+
AAA
2.84
2.75
912828XR6 US Treasury Note
1.750% Due 05/31/2022
1,500,000.00 06/28/2017
1.81%
1,496,020.65
1,497,641.62
100.07
1.73%
1,500,996.00
2,223.36
0.79%
3,354.38
Aaa / AA+
AAA
2.92
2.83
912828XW5 US Treasury Note
1.750% Due 06/30/2022
3,000,000.00 07/25/2017
1.86%
2,984,072.55
2,990,310.80
100.13
1.71%
3,003,750.00
142.66
1.58%
13,439.20
Aaa / AA+
AAA
3.00
2.91
912828L24 US Treasury Note
1.875% Due 08/31/2022
2,000,000.00 09/27/2017
1.92%
1,995,944.20
1,997,390.12
100.45
1.73%
2,008,984.00
12,533.97
1.06%
11,593.88
Aaa / AA+
AAA
3.17
3.05
912828L57 US Treasury Note
1.750% Due 09/30/2022
3,750,000.00 Various
2.02%
3,702,841.80
3,718,699.70
100.07
1.73%
3,752,636.25
16,495.90
1.98%
33,936.55
Aaa / AA+
AAA
3.25
3.13
912828M49 US Treasury Note
1.875% Due 10/31/2022
1,000,000.00 01/30/2018
2.47%
973,359.38
981,287.04
100.48
1.72%
1,004,844.00
3,158.97
0.53%
23,556.96
Aaa / AA+
AAA
3.34
3.21
9128284D9 US Treasury Note
2.500% Due 03/31/2023
3,750,000.00 Various
2.75%
3,706,123.05
3,716,687.77
102.79
1.73%
3,854,591.25
23,565.58
2.04%
137,903.48
Aaa / AA+
AAA
3.75
3.55
912828R69 US Treasury Note
1.625% Due 05/31/2023
1,500,000.00 05/30/2018
2.67%
1,427,167.97
1,442,962.87
99.61
1.73%
1,494,082.50
2,064.55
0.79%
51,119.63
Aaa / AA+
AAA
3.92
3.77
912828U57 US Treasury Note
2.125% Due 11/30/2023
5,000,000.00 Various
2.53%
4,908,242.19
4,916,304.52
101.60
1.75%
5,079,885.00
8,999.32
2.67%
163,580.48
Aaa / AA+
AAA
4.42
4.20
912828V80 US Treasury Note
2.250% Due 01/31/2024
5,000,000.00 Various
2.32%
4,983,691.41
4,984,465.92
102.17
1.76%
5,108,400.00
46,926.80
2.71%
123,934.08
Aaa / AA+
AAA
4.59
4.31
912828WJ5 US Treasury Note
2.500% Due 05/15/2024
1,750,000.00 06/10/2019
1.91%
1,798,261.72
1,797,725.48
103.43
1.76%
1,810,088.00
5,587.64
0.95%
12,362.52
Aaa / AA+
AAA
4.88
4.57
TOTAL US Treasury 57,500,000.00 2.03%
56,895,299.11
57,145,787.22 1.79%
57,742,360.76
229,289.57
30.43%
596,573.54
Aaa / AA+
Aaa
2.79
2.67
TOTAL PORTFOLIO 187,733,951.61 2.23%
187,279,785.12
187,533,673.13 1.98%
189,637,107.63
899,569.60
100.00%
2,103,434.50
Aa1 / AA
Aaa
2.67
2.42
TOTAL MARKET VALUE PLUS ACCRUALS 190,536,677.23
As of June 30, 2019
33
Holdings Report
City of Dublin Reporting Account -Account #10219
CUSIP Security Description Par Value/Units Purchase Date
Book Yield
Cost Value
Book Value
Mkt Price
Mkt YTM
Market Value
Accrued Int.
% of Port.
Gain/Loss
Moody/S&P
Fitch
Maturity
Duration
LAIF
90LAIF$00 Local Agency Investment Fund State Pool 48,753,717.70 Various
2.41%
48,753,717.70
48,753,717.70
1.00
2.41%
48,753,717.70
297,000.14
49.40%
0.00
NR / NR
NR
0.00
0.00
TOTAL LAIF 48,753,717.70 2.41%
48,753,717.70
48,753,717.70 2.41%
48,753,717.70
297,000.14
49.40%
0.00
NR / NR
NR
0.00
0.00
Local Gov Investment Pool
90CAMP$00 California Asset Mgmt Program CAMP 50,246,403.91 Various
2.45%
50,246,403.91
50,246,403.91
1.00
2.45%
50,246,403.91
0.00
50.60%
0.00
NR / AAA
NR
0.00
0.00
TOTAL Local Gov Investment Pool 50,246,403.91 2.45%
50,246,403.91
50,246,403.91 2.45%
50,246,403.91
0.00
50.60%
0.00
NR / AAA
NR
0.00
0.00
TOTAL PORTFOLIO 99,000,121.61 2.43%
99,000,121.61
99,000,121.61 2.43%
99,000,121.61
297,000.14
100.00%
0.00
NR / AAA
NR
0.00
0.00
TOTAL MARKET VALUE PLUS ACCRUALS 99,297,121.75
As of June 30, 2019
34
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 04/01/2019 31846V203 3,439.83 First American Govt Obligation Fund
Class Y
1.000 2.05%3,439.83 0.00 3,439.83 0.00
Purchase 04/02/2019 31846V203 15,625.00 First American Govt Obligation Fund
Class Y
1.000 2.05%15,625.00 0.00 15,625.00 0.00
Purchase 04/05/2019 31846V203 211,214.42 First American Govt Obligation Fund
Class Y
1.000 2.05%211,214.42 0.00 211,214.42 0.00
Purchase 04/05/2019 31846V203 30,468.75 First American Govt Obligation Fund
Class Y
1.000 2.05%30,468.75 0.00 30,468.75 0.00
Purchase 04/05/2019 912828V80 2,500,000.00 US Treasury Note
2.25% Due 1/31/2024
99.672 2.32%2,491,796.88 9,944.75 2,501,741.63 0.00
Purchase 04/07/2019 31846V203 13,750.00 First American Govt Obligation Fund
Class Y
1.000 2.05%13,750.00 0.00 13,750.00 0.00
Purchase 04/08/2019 31846V203 14,062.50 First American Govt Obligation Fund
Class Y
1.000 2.05%14,062.50 0.00 14,062.50 0.00
Purchase 04/12/2019 912828V80 2,500,000.00 US Treasury Note
2.25% Due 1/31/2024
99.676 2.32%2,491,894.53 11,032.46 2,502,926.99 0.00
Purchase 04/15/2019 31846V203 1,475.00 First American Govt Obligation Fund
Class Y
1.000 2.05%1,475.00 0.00 1,475.00 0.00
Purchase 04/15/2019 31846V203 33,976.68 First American Govt Obligation Fund
Class Y
1.000 2.05%33,976.68 0.00 33,976.68 0.00
Purchase 04/15/2019 31846V203 23,463.84 First American Govt Obligation Fund
Class Y
1.000 2.05%23,463.84 0.00 23,463.84 0.00
Purchase 04/15/2019 31846V203 8,557.22 First American Govt Obligation Fund
Class Y
1.000 2.05%8,557.22 0.00 8,557.22 0.00
Purchase 04/15/2019 31846V203 1,141.59 First American Govt Obligation Fund
Class Y
1.000 2.05%1,141.59 0.00 1,141.59 0.00
Purchase 04/15/2019 31846V203 4,068.17 First American Govt Obligation Fund
Class Y
1.000 2.05%4,068.17 0.00 4,068.17 0.00
Purchase 04/15/2019 31846V203 42,401.36 First American Govt Obligation Fund
Class Y
1.000 2.05%42,401.36 0.00 42,401.36 0.00
Purchase 04/15/2019 31846V203 3,052.66 First American Govt Obligation Fund
Class Y
1.000 2.05%3,052.66 0.00 3,052.66 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 11
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 04/15/2019 31846V203 3,111.00 First American Govt Obligation Fund
Class Y
1.000 2.05%3,111.00 0.00 3,111.00 0.00
Purchase 04/15/2019 31846V203 145,618.75 First American Govt Obligation Fund
Class Y
1.000 2.05%145,618.75 0.00 145,618.75 0.00
Purchase 04/15/2019 31846V203 3,148.37 First American Govt Obligation Fund
Class Y
1.000 2.05%3,148.37 0.00 3,148.37 0.00
Purchase 04/15/2019 90LAIF$00 303,924.21 Local Agency Investment Fund State
Pool
1.000 2.44%303,924.21 0.00 303,924.21 0.00
Purchase 04/18/2019 31846V203 33,410.37 First American Govt Obligation Fund
Class Y
1.000 2.05%33,410.37 0.00 33,410.37 0.00
Purchase 04/18/2019 31846V203 1,530.08 First American Govt Obligation Fund
Class Y
1.000 2.05%1,530.08 0.00 1,530.08 0.00
Purchase 04/18/2019 31846V203 3,723.96 First American Govt Obligation Fund
Class Y
1.000 2.05%3,723.96 0.00 3,723.96 0.00
Purchase 04/22/2019 31846V203 20,187.50 First American Govt Obligation Fund
Class Y
1.000 2.05%20,187.50 0.00 20,187.50 0.00
Purchase 04/22/2019 31846V203 1,900,000.00 First American Govt Obligation Fund
Class Y
1.000 2.05%1,900,000.00 0.00 1,900,000.00 0.00
Purchase 04/22/2019 31846V203 3,343.33 First American Govt Obligation Fund
Class Y
1.000 2.05%3,343.33 0.00 3,343.33 0.00
Purchase 04/24/2019 06051GHF9 1,000,000.00 Bank of America Corp Callable Note 1X
3/5/2023
3.55% Due 3/5/2024
101.078 3.25%1,010,780.00 4,831.94 1,015,611.94 0.00
Purchase 04/30/2019 31846V203 92,146.25 First American Govt Obligation Fund
Class Y
1.000 2.04%92,146.25 0.00 92,146.25 0.00
Purchase 04/30/2019 90CAMP$00 110,342.65 California Asset Mgmt Program CAMP 1.000 2.59%110,342.65 0.00 110,342.65 0.00
Subtotal 9,027,183.49 9,021,654.90 25,809.15 9,047,464.05 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 12
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Security
Contribution
04/19/2019 90CAMP$00 17,000,000.00 California Asset Mgmt Program CAMP 1.000 17,000,000.00 0.00 17,000,000.00 0.00
Subtotal 17,000,000.00 17,000,000.00 0.00 17,000,000.00 0.00
TOTAL ACQUISITIONS 26,027,183.49 26,021,654.90 25,809.15 26,047,464.05 0.00
DISPOSITIONS
Sale 04/05/2019 912828G95 1,500,000.00 US Treasury Note
1.625% Due 12/31/2019
99.422 2.42%1,491,328.13 6,396.75 1,497,724.88 -9,972.80
Sale 04/05/2019 912828T34 1,250,000.00 US Treasury Note
1.125% Due 9/30/2021
97.203 2.29%1,215,039.06 192.11 1,215,231.17 -19,157.98
Sale 04/12/2019 3137EADG1 1,000,000.00 FHLMC Note
1.75% Due 5/30/2019
99.906 2.44%999,060.00 6,416.67 1,005,476.67 -1,537.80
Sale 04/12/2019 31846V203 504,451.78 First American Govt Obligation Fund
Class Y
1.000 2.05%504,451.78 0.00 504,451.78 0.00
Sale 04/12/2019 912828H52 1,000,000.00 US Treasury Note
1.25% Due 1/31/2020
99.055 2.44%990,546.88 2,451.66 992,998.54 -7,289.83
Sale 04/24/2019 31846V203 1,015,611.94 First American Govt Obligation Fund
Class Y
1.000 2.05%1,015,611.94 0.00 1,015,611.94 0.00
Subtotal 6,270,063.72 6,216,037.79 15,457.19 6,231,494.98 -37,958.41
Paydown 04/15/2019 02582JHE3 0.00 American Express Credit 2017-3 A
1.77% Due 11/15/2022
100.000 0.00 1,475.00 1,475.00 0.00
Paydown 04/15/2019 43814QAC2 33,862.82 Honda Auto Receivables 2016-2 A3
1.39% Due 4/15/2020
100.000 33,862.82 113.86 33,976.68 0.00
Paydown 04/15/2019 47788BAB0 23,432.79 John Deere Owner Trust 2017-B A2A
1.59% Due 4/15/2020
100.000 23,432.79 31.05 23,463.84 0.00
Paydown 04/15/2019 47788BAD6 8,071.89 John Deere Owner Trust 2017-B A3
1.82% Due 10/15/2021
100.000 8,071.89 485.33 8,557.22 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 13
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Paydown 04/15/2019 47788CAC6 0.00 John Deere Owner Trust 2016-B A4
2.66% Due 4/18/2022
100.000 0.00 1,141.59 1,141.59 0.00
Paydown 04/15/2019 47788EAC2 0.00 John Deere Owner Trust 2018-B A3
3.08% Due 11/15/2022
100.000 0.00 4,068.17 4,068.17 0.00
Paydown 04/15/2019 47788MAC4 42,348.65 John Deere Owner Trust 2016-A A3
1.36% Due 4/15/2020
100.000 42,348.65 52.71 42,401.36 0.00
Paydown 04/15/2019 47789JAB2 0.00 John Deere Owner Trust 2019-A A2
2.85% Due 12/15/2021
100.000 0.00 3,052.66 3,052.66 0.00
Paydown 04/15/2019 65479GAD1 0.00 Nissan Auto Receivables Owner 2018-B
A3
3.06% Due 3/15/2023
100.000 0.00 3,111.00 3,111.00 0.00
Paydown 04/15/2019 89238BAB8 143,717.77 Toyota Auto Receivables Owner 2018-A
A2A
2.1% Due 10/15/2020
100.000 143,717.77 1,900.98 145,618.75 0.00
Paydown 04/15/2019 89239AAB9 0.00 Toyota Auto Receivables 2019-A A2A
2.83% Due 10/15/2021
100.000 0.00 3,148.37 3,148.37 0.00
Paydown 04/18/2019 43814PAB6 33,362.60 Honda Auto Receivables Owner T 17-3
A2
1.57% Due 1/21/2020
100.000 33,362.60 47.77 33,410.37 0.00
Paydown 04/18/2019 43814UAG4 0.00 Honda Auto Receivables 2018-2 A3
3.01% Due 5/18/2022
100.000 0.00 1,530.08 1,530.08 0.00
Paydown 04/18/2019 43814WAB1 0.00 HAROT 2019-1 A2
2.75% Due 9/20/2021
100.000 0.00 3,723.96 3,723.96 0.00
Paydown 04/22/2019 43815HAC1 0.00 Honda Auto Receivables Owner 2018-3
A3
2.95% Due 8/22/2022
100.000 0.00 3,343.33 3,343.33 0.00
Subtotal 284,796.52 284,796.52 27,225.86 312,022.38 0.00
Maturity 04/22/2019 94974BFU9 1,900,000.00 Wells Fargo Corp Note
2.125% Due 4/22/2019
100.000 1,900,000.00 0.00 1,900,000.00 0.00
Subtotal 1,900,000.00 1,900,000.00 0.00 1,900,000.00 0.00
Security
Withdrawal
04/12/2019 90CAMP$00 880,000.00 California Asset Mgmt Program CAMP 1.000 880,000.00 0.00 880,000.00 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 14
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Security
Withdrawal
04/25/2019 31846V203 104.17 First American Govt Obligation Fund
Class Y
1.000 104.17 0.00 104.17 0.00
Security
Withdrawal
04/26/2019 90CAMP$00 4,000,000.00 California Asset Mgmt Program CAMP 1.000 4,000,000.00 0.00 4,000,000.00 0.00
Subtotal 4,880,104.17 4,880,104.17 0.00 4,880,104.17 0.00
TOTAL DISPOSITIONS 13,334,964.41 13,280,938.48 42,683.05 13,323,621.53 -37,958.41
OTHER TRANSACTIONS
Interest 04/02/2019 3137EADM8 2,500,000.00 FHLMC Note
1.25% Due 10/2/2019
0.000 15,625.00 0.00 15,625.00 0.00
Interest 04/05/2019 3135G0T45 3,250,000.00 FNMA Note
1.875% Due 4/5/2022
0.000 30,468.75 0.00 30,468.75 0.00
Interest 04/07/2019 3135G0Q89 2,000,000.00 FNMA Note
1.375% Due 10/7/2021
0.000 13,750.00 0.00 13,750.00 0.00
Interest 04/08/2019 68389XAX3 1,250,000.00 Oracle Corp Note
2.25% Due 10/8/2019
0.000 14,062.50 0.00 14,062.50 0.00
Interest 04/22/2019 94974BFU9 1,900,000.00 Wells Fargo Corp Note
2.125% Due 4/22/2019
0.000 20,187.50 0.00 20,187.50 0.00
Interest 04/30/2019 713448CS5 1,330,000.00 PepsiCo Inc Callable Note Cont
3/30/2020
1.85% Due 4/30/2020
0.000 12,302.50 0.00 12,302.50 0.00
Interest 04/30/2019 912828K58 1,750,000.00 US Treasury Note
1.375% Due 4/30/2020
0.000 12,031.25 0.00 12,031.25 0.00
Interest 04/30/2019 912828L99 5,000,000.00 US Treasury Note
1.375% Due 10/31/2020
0.000 34,375.00 0.00 34,375.00 0.00
Interest 04/30/2019 912828M49 1,000,000.00 US Treasury Note
1.875% Due 10/31/2022
0.000 9,375.00 0.00 9,375.00 0.00
Interest 04/30/2019 912828WZ9 2,750,000.00 US Treasury Note
1.75% Due 4/30/2022
0.000 24,062.50 0.00 24,062.50 0.00
Subtotal 22,730,000.00 186,240.00 0.00 186,240.00 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 15
Transaction Ledger
As of April 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
OTHER TRANSACTIONS
Dividend 04/01/2019 31846V203 380,177.20 First American Govt Obligation Fund
Class Y
0.000 3,439.83 0.00 3,439.83 0.00
Dividend 04/15/2019 90LAIF$00 4,356,510,460.26 Local Agency Investment Fund State
Pool
0.000 303,924.21 0.00 303,924.21 0.00
Dividend 04/30/2019 90CAMP$00 60,908,751.46 California Asset Mgmt Program CAMP 0.000 110,342.65 0.00 110,342.65 0.00
Subtotal 4,417,799,388.92 417,706.69 0.00 417,706.69 0.00
TOTAL OTHER TRANSACTIONS 4,440,529,388.92 603,946.69 0.00 603,946.69 0.00
Execution Time: 5/2/2019 11:37:02 AMChandler Asset Management - CONFIDENTIAL Page 16
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 05/01/2019 31846V203 1,364.78 First American Govt Obligation Fund
Class Y
1.000 2.04%1,364.78 0.00 1,364.78 0.00
Purchase 05/03/2019 31846V203 23,000.00 First American Govt Obligation Fund
Class Y
1.000 2.04%23,000.00 0.00 23,000.00 0.00
Purchase 05/11/2019 31846V203 16,950.00 First American Govt Obligation Fund
Class Y
1.000 2.04%16,950.00 0.00 16,950.00 0.00
Purchase 05/13/2019 31846V203 11,875.00 First American Govt Obligation Fund
Class Y
1.000 2.04%11,875.00 0.00 11,875.00 0.00
Purchase 05/15/2019 31846V203 1,475.00 First American Govt Obligation Fund
Class Y
1.000 2.04%1,475.00 0.00 1,475.00 0.00
Purchase 05/15/2019 31846V203 31,507.09 First American Govt Obligation Fund
Class Y
1.000 2.04%31,507.09 0.00 31,507.09 0.00
Purchase 05/15/2019 31846V203 31,888.63 First American Govt Obligation Fund
Class Y
1.000 2.04%31,888.63 0.00 31,888.63 0.00
Purchase 05/15/2019 31846V203 1,141.59 First American Govt Obligation Fund
Class Y
1.000 2.04%1,141.59 0.00 1,141.59 0.00
Purchase 05/15/2019 31846V203 4,068.17 First American Govt Obligation Fund
Class Y
1.000 2.04%4,068.17 0.00 4,068.17 0.00
Purchase 05/15/2019 31846V203 4,163.74 First American Govt Obligation Fund
Class Y
1.000 2.04%4,163.74 0.00 4,163.74 0.00
Purchase 05/15/2019 31846V203 2,861.88 First American Govt Obligation Fund
Class Y
1.000 2.04%2,861.88 0.00 2,861.88 0.00
Purchase 05/15/2019 31846V203 3,111.00 First American Govt Obligation Fund
Class Y
1.000 2.04%3,111.00 0.00 3,111.00 0.00
Purchase 05/15/2019 31846V203 144,506.49 First American Govt Obligation Fund
Class Y
1.000 2.04%144,506.49 0.00 144,506.49 0.00
Purchase 05/15/2019 31846V203 3,148.37 First American Govt Obligation Fund
Class Y
1.000 2.04%3,148.37 0.00 3,148.37 0.00
Purchase 05/16/2019 31846V203 10,500.00 First American Govt Obligation Fund
Class Y
1.000 2.04%10,500.00 0.00 10,500.00 0.00
Purchase 05/17/2019 31846V203 22,500.00 First American Govt Obligation Fund
Class Y
1.000 2.04%22,500.00 0.00 22,500.00 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 10
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 05/18/2019 31846V203 17,110.00 First American Govt Obligation Fund
Class Y
1.000 2.04%17,110.00 0.00 17,110.00 0.00
Purchase 05/19/2019 31846V203 17,550.00 First American Govt Obligation Fund
Class Y
1.000 2.04%17,550.00 0.00 17,550.00 0.00
Purchase 05/20/2019 31846V203 1,502,336.96 First American Govt Obligation Fund
Class Y
1.000 2.04%1,502,336.96 0.00 1,502,336.96 0.00
Purchase 05/20/2019 31846V203 22,500.00 First American Govt Obligation Fund
Class Y
1.000 2.04%22,500.00 0.00 22,500.00 0.00
Purchase 05/20/2019 31846V203 3,156.56 First American Govt Obligation Fund
Class Y
1.000 2.04%3,156.56 0.00 3,156.56 0.00
Purchase 05/20/2019 31846V203 1,530.08 First American Govt Obligation Fund
Class Y
1.000 2.04%1,530.08 0.00 1,530.08 0.00
Purchase 05/20/2019 31846V203 3,723.96 First American Govt Obligation Fund
Class Y
1.000 2.04%3,723.96 0.00 3,723.96 0.00
Purchase 05/21/2019 037833CU2 2,400,000.00 Apple Inc Callable Note Cont 3/11/2024
2.85% Due 5/11/2024
100.592 2.72%2,414,208.00 1,900.00 2,416,108.00 0.00
Purchase 05/21/2019 31846V203 3,343.33 First American Govt Obligation Fund
Class Y
1.000 2.04%3,343.33 0.00 3,343.33 0.00
Purchase 05/23/2019 808513AT2 2,000,000.00 Charles Schwab Corp Callable Note
Cont 12/25/2022
2.65% Due 1/25/2023
99.696 2.74%1,993,920.00 17,372.22 2,011,292.22 0.00
Purchase 05/30/2019 31846V203 18,750.00 First American Govt Obligation Fund
Class Y
1.000 2.04%18,750.00 0.00 18,750.00 0.00
Purchase 05/31/2019 31846V203 137,812.50 First American Govt Obligation Fund
Class Y
1.000 2.01%137,812.50 0.00 137,812.50 0.00
Purchase 05/31/2019 90CAMP$00 118,319.68 California Asset Mgmt Program CAMP 1.000 2.59%118,319.68 0.00 118,319.68 0.00
Subtotal 6,560,194.81 6,568,322.81 19,272.22 6,587,595.03 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 11
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Security
Contribution
05/31/2019 90CAMP$00 3,000,000.00 California Asset Mgmt Program CAMP 1.000 3,000,000.00 0.00 3,000,000.00 0.00
Subtotal 3,000,000.00 3,000,000.00 0.00 3,000,000.00 0.00
TOTAL ACQUISITIONS 9,560,194.81 9,568,322.81 19,272.22 9,587,595.03 0.00
DISPOSITIONS
Sale 05/20/2019 912828G95 1,500,000.00 US Treasury Note
1.625% Due 12/31/2019
99.527 2.40%1,492,910.16 9,426.80 1,502,336.96 -8,173.95
Sale 05/21/2019 31846V203 2,416,108.00 First American Govt Obligation Fund
Class Y
1.000 2.04%2,416,108.00 0.00 2,416,108.00 0.00
Sale 05/23/2019 31846V203 688,644.53 First American Govt Obligation Fund
Class Y
1.000 2.04%688,644.53 0.00 688,644.53 0.00
Sale 05/23/2019 713448CS5 1,330,000.00 PepsiCo Inc Callable Note Cont
3/30/2020
1.85% Due 4/30/2020
99.329 2.58%1,321,075.70 1,571.99 1,322,647.69 -8,781.97
Subtotal 5,934,752.53 5,918,738.39 10,998.79 5,929,737.18 -16,955.92
Paydown 05/15/2019 02582JHE3 0.00 American Express Credit 2017-3 A
1.77% Due 11/15/2022
100.000 0.00 1,475.00 1,475.00 0.00
Paydown 05/15/2019 43814QAC2 31,432.45 Honda Auto Receivables 2016-2 A3
1.39% Due 4/15/2020
100.000 31,432.45 74.64 31,507.09 0.00
Paydown 05/15/2019 47788BAD6 31,415.54 John Deere Owner Trust 2017-B A3
1.82% Due 10/15/2021
100.000 31,415.54 473.09 31,888.63 0.00
Paydown 05/15/2019 47788CAC6 0.00 John Deere Owner Trust 2016-B A4
2.66% Due 4/18/2022
100.000 0.00 1,141.59 1,141.59 0.00
Paydown 05/15/2019 47788EAC2 0.00 John Deere Owner Trust 2018-B A3
3.08% Due 11/15/2022
100.000 0.00 4,068.17 4,068.17 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 12
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Paydown 05/15/2019 47788MAC4 4,159.03 John Deere Owner Trust 2016-A A3
1.36% Due 4/15/2020
100.000 4,159.03 4.71 4,163.74 0.00
Paydown 05/15/2019 47789JAB2 0.00 John Deere Owner Trust 2019-A A2
2.85% Due 12/15/2021
100.000 0.00 2,861.88 2,861.88 0.00
Paydown 05/15/2019 65479GAD1 0.00 Nissan Auto Receivables Owner 2018-B
A3
3.06% Due 3/15/2023
100.000 0.00 3,111.00 3,111.00 0.00
Paydown 05/15/2019 89238BAB8 142,857.02 Toyota Auto Receivables Owner 2018-A
A2A
2.1% Due 10/15/2020
100.000 142,857.02 1,649.47 144,506.49 0.00
Paydown 05/15/2019 89239AAB9 0.00 Toyota Auto Receivables 2019-A A2A
2.83% Due 10/15/2021
100.000 0.00 3,148.37 3,148.37 0.00
Paydown 05/20/2019 43814PAB6 3,152.44 Honda Auto Receivables Owner T 17-3
A2
1.57% Due 1/21/2020
100.000 3,152.44 4.12 3,156.56 0.00
Paydown 05/20/2019 43814UAG4 0.00 Honda Auto Receivables 2018-2 A3
3.01% Due 5/18/2022
100.000 0.00 1,530.08 1,530.08 0.00
Paydown 05/20/2019 43814WAB1 0.00 HAROT 2019-1 A2
2.75% Due 9/20/2021
100.000 0.00 3,723.96 3,723.96 0.00
Paydown 05/21/2019 43815HAC1 0.00 Honda Auto Receivables Owner 2018-3
A3
2.95% Due 8/22/2022
100.000 0.00 3,343.33 3,343.33 0.00
Subtotal 213,016.48 213,016.48 26,609.41 239,625.89 0.00
Security
Withdrawal
05/03/2019 90CAMP$00 4,000,000.00 California Asset Mgmt Program CAMP 1.000 4,000,000.00 0.00 4,000,000.00 0.00
Security
Withdrawal
05/13/2019 90CAMP$00 1,000,000.00 California Asset Mgmt Program CAMP 1.000 1,000,000.00 0.00 1,000,000.00 0.00
Security
Withdrawal
05/17/2019 90CAMP$00 1,400,000.00 California Asset Mgmt Program CAMP 1.000 1,400,000.00 0.00 1,400,000.00 0.00
Security
Withdrawal
05/23/2019 90CAMP$00 2,500,000.00 California Asset Mgmt Program CAMP 1.000 2,500,000.00 0.00 2,500,000.00 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 13
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Security
Withdrawal
05/24/2019 31846V203 104.17 First American Govt Obligation Fund
Class Y
1.000 104.17 0.00 104.17 0.00
Subtotal 8,900,104.17 8,900,104.17 0.00 8,900,104.17 0.00
TOTAL DISPOSITIONS 15,047,873.18 15,031,859.04 37,608.20 15,069,467.24 -16,955.92
OTHER TRANSACTIONS
Interest 05/03/2019 00440EAT4 2,000,000.00 Chubb INA Holdings Inc Callable Note
Cont 10/3/2020
2.3% Due 11/3/2020
0.000 23,000.00 0.00 23,000.00 0.00
Interest 05/11/2019 369550BE7 1,130,000.00 General Dynamics Corp Note
3% Due 5/11/2021
0.000 16,950.00 0.00 16,950.00 0.00
Interest 05/13/2019 40428HPN6 1,000,000.00 HSBC USA Inc Note
2.375% Due 11/13/2019
0.000 11,875.00 0.00 11,875.00 0.00
Interest 05/16/2019 166764BG4 1,000,000.00 Chevron Corp Callable Note Cont
4/15/2021
2.1% Due 5/16/2021
0.000 10,500.00 0.00 10,500.00 0.00
Interest 05/17/2019 3137EAEK1 2,400,000.00 FHLMC Note
1.875% Due 11/17/2020
0.000 22,500.00 0.00 22,500.00 0.00
Interest 05/18/2019 46625HRL6 500,000.00 JP Morgan Chase Callable Note Cont
3/18/2023
2.7% Due 5/18/2023
0.000 6,750.00 0.00 6,750.00 0.00
Interest 05/18/2019 58933YAF2 740,000.00 Merck & Co Note
2.8% Due 5/18/2023
0.000 10,360.00 0.00 10,360.00 0.00
Interest 05/19/2019 857477AV5 1,800,000.00 State Street Bank Note
1.95% Due 5/19/2021
0.000 17,550.00 0.00 17,550.00 0.00
Interest 05/20/2019 747525AD5 2,000,000.00 Qualcomm Inc Note
2.25% Due 5/20/2020
0.000 22,500.00 0.00 22,500.00 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 14
Transaction Ledger
As of May 31, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
OTHER TRANSACTIONS
Interest 05/30/2019 3135G0F73 2,500,000.00 FNMA Note
1.5% Due 11/30/2020
0.000 18,750.00 0.00 18,750.00 0.00
Interest 05/31/2019 912828G61 2,000,000.00 US Treasury Note
1.5% Due 11/30/2019
0.000 15,000.00 0.00 15,000.00 0.00
Interest 05/31/2019 912828R69 1,500,000.00 US Treasury Note
1.625% Due 5/31/2023
0.000 12,187.50 0.00 12,187.50 0.00
Interest 05/31/2019 912828U57 5,000,000.00 US Treasury Note
2.125% Due 11/30/2023
0.000 53,125.00 0.00 53,125.00 0.00
Interest 05/31/2019 912828U65 2,500,000.00 US Treasury Note
1.75% Due 11/30/2021
0.000 21,875.00 0.00 21,875.00 0.00
Interest 05/31/2019 912828XE5 3,000,000.00 US Treasury Note
1.5% Due 5/31/2020
0.000 22,500.00 0.00 22,500.00 0.00
Interest 05/31/2019 912828XR6 1,500,000.00 US Treasury Note
1.75% Due 5/31/2022
0.000 13,125.00 0.00 13,125.00 0.00
Subtotal 30,570,000.00 298,547.50 0.00 298,547.50 0.00
Dividend 05/01/2019 31846V203 1,472,925.94 First American Govt Obligation Fund
Class Y
0.000 1,364.78 0.00 1,364.78 0.00
Dividend 05/31/2019 90CAMP$00 52,119,094.11 California Asset Mgmt Program CAMP 0.000 118,319.68 0.00 118,319.68 0.00
Subtotal 53,592,020.05 119,684.46 0.00 119,684.46 0.00
TOTAL OTHER TRANSACTIONS 84,162,020.05 418,231.96 0.00 418,231.96 0.00
Execution Time: 6/12/2019 10:17:46 AMChandler Asset Management - CONFIDENTIAL Page 15
Transaction Ledger
As of June 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 06/03/2019 31846V203 2,074.74 First American Govt Obligation Fund
Class Y
1.000 2.01%2,074.74 0.00 2,074.74 0.00
Purchase 06/08/2019 31846V203 123,050.00 First American Govt Obligation Fund
Class Y
1.000 2.01%123,050.00 0.00 123,050.00 0.00
Purchase 06/09/2019 31846V203 24,375.00 First American Govt Obligation Fund
Class Y
1.000 2.01%24,375.00 0.00 24,375.00 0.00
Purchase 06/11/2019 31846V203 28,125.00 First American Govt Obligation Fund
Class Y
1.000 2.01%28,125.00 0.00 28,125.00 0.00
Purchase 06/11/2019 912828WJ5 1,750,000.00 US Treasury Note
2.5% Due 5/15/2024
102.758 1.91%1,798,261.72 3,209.92 1,801,471.64 0.00
Purchase 06/12/2019 31846V203 17,500.00 First American Govt Obligation Fund
Class Y
1.000 2.01%17,500.00 0.00 17,500.00 0.00
Purchase 06/15/2019 31846V203 22,500.00 First American Govt Obligation Fund
Class Y
1.000 2.01%22,500.00 0.00 22,500.00 0.00
Purchase 06/17/2019 3130A1XJ2 1,900,000.00 FHLB Note
2.875% Due 6/14/2024
104.301 1.97%1,981,719.00 455.21 1,982,174.21 0.00
Purchase 06/17/2019 31846V203 13,437.98 First American Govt Obligation Fund
Class Y
1.000 2.01%13,437.98 0.00 13,437.98 0.00
Purchase 06/17/2019 31846V203 1,475.00 First American Govt Obligation Fund
Class Y
1.000 2.01%1,475.00 0.00 1,475.00 0.00
Purchase 06/17/2019 31846V203 30,014.22 First American Govt Obligation Fund
Class Y
1.000 2.01%30,014.22 0.00 30,014.22 0.00
Purchase 06/17/2019 31846V203 21,570.20 First American Govt Obligation Fund
Class Y
1.000 2.01%21,570.20 0.00 21,570.20 0.00
Purchase 06/17/2019 31846V203 1,141.58 First American Govt Obligation Fund
Class Y
1.000 2.01%1,141.58 0.00 1,141.58 0.00
Purchase 06/17/2019 31846V203 4,068.17 First American Govt Obligation Fund
Class Y
1.000 2.01%4,068.17 0.00 4,068.17 0.00
Purchase 06/17/2019 31846V203 2,861.88 First American Govt Obligation Fund
Class Y
1.000 2.01%2,861.88 0.00 2,861.88 0.00
Purchase 06/17/2019 31846V203 3,111.00 First American Govt Obligation Fund
Class Y
1.000 2.01%3,111.00 0.00 3,111.00 0.00
Execution Time: 7/22/2019 12:47:50 PMChandler Asset Management - CONFIDENTIAL Page 10
Transaction Ledger
As of June 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
ACQUISITIONS
Purchase 06/17/2019 31846V203 142,441.11 First American Govt Obligation Fund
Class Y
1.000 2.01%142,441.11 0.00 142,441.11 0.00
Purchase 06/17/2019 31846V203 3,148.37 First American Govt Obligation Fund
Class Y
1.000 2.01%3,148.37 0.00 3,148.37 0.00
Purchase 06/18/2019 31846V203 1,530.08 First American Govt Obligation Fund
Class Y
1.000 2.01%1,530.08 0.00 1,530.08 0.00
Purchase 06/18/2019 31846V203 3,723.96 First American Govt Obligation Fund
Class Y
1.000 2.01%3,723.96 0.00 3,723.96 0.00
Purchase 06/19/2019 3130A1XJ2 1,895,000.00 FHLB Note
2.875% Due 6/14/2024
104.323 1.96%1,976,920.85 756.68 1,977,677.53 0.00
Purchase 06/19/2019 31846V203 27,500.00 First American Govt Obligation Fund
Class Y
1.000 2.01%27,500.00 0.00 27,500.00 0.00
Purchase 06/20/2019 31846V203 3,705,000.00 First American Govt Obligation Fund
Class Y
1.000 2.01%3,705,000.00 0.00 3,705,000.00 0.00
Purchase 06/20/2019 62479MVK6 3,800,000.00 MUFG Bank Ltd/NY Discount CP
2.35% Due 8/19/2019
99.608 2.39%3,785,116.67 0.00 3,785,116.67 0.00
Purchase 06/21/2019 31846V203 3,343.33 First American Govt Obligation Fund
Class Y
1.000 2.01%3,343.33 0.00 3,343.33 0.00
Purchase 06/24/2019 31846V203 15,955.00 First American Govt Obligation Fund
Class Y
1.000 2.01%15,955.00 0.00 15,955.00 0.00
Purchase 06/26/2019 31846V203 23,460.00 First American Govt Obligation Fund
Class Y
1.000 2.01%23,460.00 0.00 23,460.00 0.00
Purchase 06/30/2019 31846V203 26,250.00 First American Govt Obligation Fund
Class Y
1.000 1.99%26,250.00 0.00 26,250.00 0.00
Purchase 06/30/2019 90CAMP$00 108,990.12 California Asset Mgmt Program CAMP 1.000 2.45%108,990.12 0.00 108,990.12 0.00
Subtotal 13,701,646.74 13,898,664.98 4,421.81 13,903,086.79 0.00
TOTAL ACQUISITIONS 13,701,646.74 13,898,664.98 4,421.81 13,903,086.79 0.00
Execution Time: 7/22/2019 12:47:50 PMChandler Asset Management - CONFIDENTIAL Page 11
Transaction Ledger
As of June 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Sale 06/11/2019 31846V203 319,271.19 First American Govt Obligation Fund
Class Y
1.000 2.01%319,271.19 0.00 319,271.19 0.00
Sale 06/11/2019 912828S76 1,500,000.00 US Treasury Note
1.125% Due 7/31/2021
98.406 1.89%1,476,093.75 6,106.70 1,482,200.45 -472.94
Sale 06/17/2019 912828G61 2,000,000.00 US Treasury Note
1.5% Due 11/30/2019
99.711 2.14%1,994,218.75 1,393.44 1,995,612.19 -6,182.06
Sale 06/19/2019 31846V203 235,208.95 First American Govt Obligation Fund
Class Y
1.000 2.01%235,208.95 0.00 235,208.95 0.00
Sale 06/19/2019 912828K58 1,750,000.00 US Treasury Note
1.375% Due 4/30/2020
99.383 2.10%1,739,199.22 3,269.36 1,742,468.58 -8,226.23
Sale 06/20/2019 31846V203 3,785,116.67 First American Govt Obligation Fund
Class Y
1.000 2.01%3,785,116.67 0.00 3,785,116.67 0.00
Subtotal 9,589,596.81 9,549,108.53 10,769.50 9,559,878.03 -14,881.23
Paydown 06/17/2019 02582JHE3 0.00 American Express Credit 2017-3 A
1.77% Due 11/15/2022
100.000 0.00 1,475.00 1,475.00 0.00
Paydown 06/17/2019 43814QAC2 29,975.99 Honda Auto Receivables 2016-2 A3
1.39% Due 4/15/2020
100.000 29,975.99 38.23 30,014.22 0.00
Paydown 06/17/2019 47788BAD6 21,144.76 John Deere Owner Trust 2017-B A3
1.82% Due 10/15/2021
100.000 21,144.76 425.44 21,570.20 0.00
Paydown 06/17/2019 47788CAC6 0.00 John Deere Owner Trust 2016-B A4
2.66% Due 4/18/2022
100.000 0.00 1,141.58 1,141.58 0.00
Paydown 06/17/2019 47788EAC2 0.00 John Deere Owner Trust 2018-B A3
3.08% Due 11/15/2022
100.000 0.00 4,068.17 4,068.17 0.00
Paydown 06/17/2019 47789JAB2 0.00 John Deere Owner Trust 2019-A A2
2.85% Due 12/15/2021
100.000 0.00 2,861.88 2,861.88 0.00
Paydown 06/17/2019 65479GAD1 0.00 Nissan Auto Receivables Owner 2018-B
A3
3.06% Due 3/15/2023
100.000 0.00 3,111.00 3,111.00 0.00
Paydown 06/17/2019 89238BAB8 141,041.64 Toyota Auto Receivables Owner 2018-A
A2A
2.1% Due 10/15/2020
100.000 141,041.64 1,399.47 142,441.11 0.00
Execution Time: 7/22/2019 12:47:50 PMChandler Asset Management - CONFIDENTIAL Page 12
Transaction Ledger
As of June 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
DISPOSITIONS
Paydown 06/17/2019 89239AAB9 0.00 Toyota Auto Receivables 2019-A A2A
2.83% Due 10/15/2021
100.000 0.00 3,148.37 3,148.37 0.00
Paydown 06/18/2019 43814UAG4 0.00 Honda Auto Receivables 2018-2 A3
3.01% Due 5/18/2022
100.000 0.00 1,530.08 1,530.08 0.00
Paydown 06/18/2019 43814WAB1 0.00 HAROT 2019-1 A2
2.75% Due 9/20/2021
100.000 0.00 3,723.96 3,723.96 0.00
Paydown 06/21/2019 43815HAC1 0.00 Honda Auto Receivables Owner 2018-3
A3
2.95% Due 8/22/2022
100.000 0.00 3,343.33 3,343.33 0.00
Subtotal 192,162.39 192,162.39 26,266.51 218,428.90 0.00
Maturity 06/20/2019 62479MTL7 3,705,000.00 MUFG Bank Ltd/NY Discount CP
2.6% Due 6/20/2019
99.133 3,705,000.00 0.00 3,705,000.00 0.00
Subtotal 3,705,000.00 3,705,000.00 0.00 3,705,000.00 0.00
Security
Withdrawal
06/14/2019 90CAMP$00 600,000.00 California Asset Mgmt Program CAMP 1.000 600,000.00 0.00 600,000.00 0.00
Security
Withdrawal
06/20/2019 90CAMP$00 4,500,000.00 California Asset Mgmt Program CAMP 1.000 4,500,000.00 0.00 4,500,000.00 0.00
Security
Withdrawal
06/25/2019 31846V203 104.17 First American Govt Obligation Fund
Class Y
1.000 104.17 0.00 104.17 0.00
Subtotal 5,100,104.17 5,100,104.17 0.00 5,100,104.17 0.00
TOTAL DISPOSITIONS 18,586,863.37 18,546,375.09 37,036.01 18,583,411.10 -14,881.23
OTHER TRANSACTIONS
Interest 06/08/2019 3130A0F70 5,000,000.00 FHLB Note
3.375% Due 12/8/2023
0.000 84,375.00 0.00 84,375.00 0.00
Interest 06/08/2019 69353RFL7 2,210,000.00 PNC Bank Callable Note Cont 5/9/2023
3.5% Due 6/8/2023
0.000 38,675.00 0.00 38,675.00 0.00
Interest 06/09/2019 313383QR5 1,500,000.00 FHLB Note
3.25% Due 6/9/2023
0.000 24,375.00 0.00 24,375.00 0.00
Interest 06/11/2019 313379RB7 3,000,000.00 FHLB Note
1.875% Due 6/11/2021
0.000 28,125.00 0.00 28,125.00 0.00
Execution Time: 7/22/2019 12:47:50 PMChandler Asset Management - CONFIDENTIAL Page 13
Transaction Ledger
As of June 30, 2019
City of Dublin Consolidated
Account #10221
Transaction
Type
Settlement
Date CUSIP Quantity Security Description Price Acq/Disp
Yield Amount Interest
Pur/Sold Total Amount Gain/Loss
OTHER TRANSACTIONS
Interest 06/12/2019 313383HU8 2,000,000.00 FHLB Note
1.75% Due 6/12/2020
0.000 17,500.00 0.00 17,500.00 0.00
Interest 06/15/2019 097023BQ7 2,400,000.00 Boeing Co Callable Note Cont
4/15/2023
1.875% Due 6/15/2023
0.000 22,500.00 0.00 22,500.00 0.00
Interest 06/19/2019 3137EAEN5 2,000,000.00 FHLMC Note
2.75% Due 6/19/2023
0.000 27,500.00 0.00 27,500.00 0.00
Interest 06/24/2019 166764AH3 1,000,000.00 Chevron Corp Callable Note Cont
3/24/2023
3.191% Due 6/24/2023
0.000 15,955.00 0.00 15,955.00 0.00
Interest 06/26/2019 931142EK5 1,380,000.00 Wal-Mart Stores Callable Note Cont
5/26/2023
3.4% Due 6/26/2023
0.000 23,460.00 0.00 23,460.00 0.00
Interest 06/30/2019 912828XW5 3,000,000.00 US Treasury Note
1.75% Due 6/30/2022
0.000 26,250.00 0.00 26,250.00 0.00
Subtotal 23,490,000.00 308,715.00 0.00 308,715.00 0.00
Dividend 06/03/2019 31846V203 409,944.37 First American Govt Obligation Fund
Class Y
0.000 2,074.74 0.00 2,074.74 0.00
Dividend 06/30/2019 90CAMP$00 50,137,413.79 California Asset Mgmt Program CAMP 0.000 108,990.12 0.00 108,990.12 0.00
Subtotal 50,547,358.16 111,064.86 0.00 111,064.86 0.00
TOTAL OTHER TRANSACTIONS 74,037,358.16 419,779.86 0.00 419,779.86 0.00
Execution Time: 7/22/2019 12:47:50 PMChandler Asset Management - CONFIDENTIAL Page 14