HomeMy WebLinkAboutItem 4.05 Invest Rpt 3rd Qtrti~~
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CITY CLERK
File # ^~^!^-3^O^
AGENDA STATEMENT
CITY COUNCIL MEETING DATE: May 5, 2009
SUBJECT:
ATTACHMENTS:
RECO~ENDATION:
FIN~CIAL STATE
City Treasurer's Investment Report for 3rd Quarter 2008-2009
Report Prepared by Paul S. Rankin, Administrative Services Dir.
1. Quarterly Investment Report For The Period Ending March 31, 2009
Receive the Report
See Report
DESCRIPTION: The attached Investment Report details the City's investments as of March 31, 2009,
in accordance with the requirements for reporting investments.
QUARTERLY REPORT FORMAT
The format of the quarterly report consists of the following components:
Section I -Portfolio Information
• Portfolio Summary (Includes the Par Value; Market Value; and Yield)
• Portfolio Details (Includes a listing of individual securities and investments)
• Investments By Type (Includes a listing of Federal Securities including call date if
applicable)
Section II -Investment Charts
Section III -Listing of Investment Transactions by Month
3rd QUARTER RESULTS
As shown on the Portfolio Summary the total investments as of March 31, 2009 were approximately $103.8
million. The "Yield to Maturity" was calculated at 3.483% and the weighted average maturity of the
portfolio was 968 days (2.65 years). The report also displays the weighted average maturity based on the
"Call Date". If all securities were assumed to be called the portfolio average maturity drops to slightly more
than one year at 380 days.
The Market Value as of March 31, 2009 was approximately $ 2.7 million more than the Par Value. (Par
Value = $103,789,959 and Market Value = $106,455,091) The Par Value is the "face value" or principal
amount at maturity of the note or bond. The typical investment approach used by the City is to hold
investments until maturity. The City does not actively sell securities prior to their maturity. In the current
market, the premature liquidation of a security would result in less interest income upon reinvestment,
diluting any gain achieved from selling the investment prior to its stated maturity.
COPY TO:
Page 1 of3 ~•~
ITEM NO.
G:Unvestments\FY 2008-09\OQtr3March2009 Report\Ag_Stmt_3rdtQtr_mar_09.doc
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The following Table displays the comparative results based on information in the Portfolio Summary for the
most recent five quarters. This allows for a comparison to the most recent quarter as well as the same three
month period one year ago.
COMPARISON OF PORTFOLIO MEASURES
Most Recent Five Quarters
2007!08 2007/08 2008/09 2008/49 2008/09
Portfolio Quarter 3 Quarter 4 Quarter I Quarter 2 Quarter 3
Measure (Jan - (March - (Jul -Sept (Oct -Dec {Jan -Mar
March 2008) June 2008 2008 2008 2009
Par Value $118,018,240 $124,192,095 $115,358,346 $120,350,694 $103,789,959
Average 649 Days 691 Days 948 days 940 days 968 days
Term (1.78 yrs) 1.89 s) (2.6 yrs) (2.58 s (2.65 s)
Yield To 4.046% 3.579% 3.740% 3.661 % 3.483
Maturi /Call
As noted in the Table the total portfolio is approximately $14.2 million less than one year ago. The total
portfolio will fluctuate between fiscal years based upon planned expenditures, fluctuations in revenue
collected, and differences in timing of both revenue and expenditures. One factor which has contributed to
the decrease experienced in the current year is that City has been expending capital reserves for significant
projects including the following: Shannon Center Reconstruction; City Maintenance Facility Acquisition;
Interstate 580/ Fallon Road Interchange. The average maturity of the investments held has increased over the
past year from 1.78 years to 2.65 years. This was impacted by the fact that in the third quarter of last fiscal
year the City received the Fallon Interchange funds in excess of $11 million.
INVESTMENT ACTIVITY DURING THE THIRD QUARTER
This report discloses changes in individual securities due to Maturities, Called Securities, and New
Investments. None of the investments held by the City were scheduled to mature during~the quarter. No new
investments were purchased during the quarter. A total of $11,000,000 in securities were called by the
issuers before their stated maturity. The details related to the called investment are shown below:
INVESTMENTS CALLED DURING THE THIRD QUARTER
T e*
Date
Ac uired
Par Value Original
Maturity
Date
Coupon
Rate
Call Date
FHLB 4/7/2008 $3,000,000 1/7/2011 3.000% January 7, 2009
FHLB 4/9/2008 $3,000,000 1/9/2012 3.410% January 9, 2009
FHLB 2/6/2007 $2,000,000 8/6/2010 5.180% February 6, 2009
FFCB 3/24/2008 $3,000,000 3/24/2010 2.625% March 24, 2009
TOTAL $11,000,000
* FHLB =Federal Home Loan Bank; FFCB =Federal Farmers Credit Bank; FNMA =Federal National Mortgage
Association or "Fannie Mae"; FHLMC =Federal Home Loan Mortgage Corporation "Freddie Mac"
G:Unvestments\FY 2008-09\OQtr3March2009 Report\Ag_Stmt_3rdtQtr_mar 09.doc
COMPOSITION OF PORTFOLIO
Section II of the Report contains charts which assist with reviewing the portfolio. The Charts focus on key
factors to monitor including the investment maturities as well as the composition of the portfolio. The
following are key highlights of the portfolio:
• At March 31, 2009, 28% of the portfolio was immediately available in the Local Agency Investment
Fund (LATE) and Money Market instruments. This is the same percentage reported as of December
31, 2008.
• Federal Agency Securities represented 72% of the Portfolio, which also remains unchanged from the
percentage reported as of December 31, 2008.
• There was diversity in the issuers of the federal securities held in the portfolio. A total of four
different issuers were represented. (FNMA-22%; FHLB - 49%; FFCB-17% and FHLMC-12%).
• 39% of the funds are invested for one year or less compared to 35% reported as of December 31,
2008.
• 24% of the funds are invested in securities with maturities of 3 years or more as of March 31, 2008,
compared to 33% reported for December 31, 2008.
MONTHLY TRANSACTIONS
Section III of the Report provides a list of transactions related to investments in the City portfolio for each
month of the third quarter (January, February, and March 2009). This schedule provides compliance with the
Government Code requirement to disclose monthly transaction data. It is incorporated as part of the
quarterly investment report rather than individual monthly reports.
RECENT TRENDS COMPARED TO BUDGET
There have been significant downward trends in interest rates. This can be observed by examining the LAIF
rate as shown below:
Local Agency Investment Fund (LAIF) Quarterly Rate
Quarter Ending Rate
March 31, 2008 4.18%
March 31, 2009 1.91%
The current trend in the market is to continue with lower interest rates. In terms of new issues of Federal
Agency Securities there have been fewer new issues and most are at rates below those of securities currently
held in the City portfolio. The economic environment and lower interest rates in general is expected to
impact interest income earned by the City.
RECOMMENDATION
It is recommended that the City Council receive the report.
G:\Investments\FY 2008-09\OQtr3March2009 ReportWg_Stmt_3rdtQtr_mar 09.doc
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CITY OF DUBLIN
QUARTERLY INVESTMENT REPORT
Third Quarter Fiscal Year 2008-2009
March 31, 2009
Presented To City Council May 5, 2009
Section 1 -Portfolio Information
• Portfolio Summary (Includes the Par Value; Market
Value; and Yield)
• Portfolio Details (Includes a listing of individual
securities and investments)
• Investments By Type (Listing of Federal Securities
including call date if applicable)
Section II -Investment .Charts
Section III -Listing of Monthly Investment Transactions
~!A ;'A ,~~ ~ ~J
Attachment 1
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~trrouN CITY OF DUBLIN
Portfolio Management
Portfolio Summary
March 31, 2009
Par Market Book
Investments Value Value Value
$106,455,090.60
Money Market 4,631,365.97
LAIF 24,448,073.47
Calif Asset Mgt Pgm (CAMP) 55,519.21
Federal Agency Coupon 74,655,000.00
Total $103,789,958.65
Cash and Accrued Interest
Accrued Interest (~l
4,631, 365.97
24,448,073.47
55,519.21
77,320,131.95
4,631,365.97 4.46 1 1 0.430
24,448,073.47 23.53 1 1 1.910
55, 519.21 0.05 1 1 1.020
74,782,378.98 71.96 1344 527 4.188
$103,917,337.63 100.00% 968 380 3.483%
of Term / Days to YTM/C
Portfolio Days Mat./Call 365 Equiv.
899,756.49
899,756.49
968 380 3.483%
Total Cash and $103,789,958.65 $107,354,847.09
Investments Value
$104,817,094.12
The schedule of investments, including the dates of maturity, provide adequate cash flow liquidity to meet anticipated expenditures over the next six months. The
investments and schedule of investments are in compliance with the City of Dublin Investment Policy, and all applicable laws and regulations.
~~. ~..~..~ ~~Z~ lay
PAUL S. RANKIN, ADMINISTRATIVE SERVICES DIRECTOR DATE
(1) Accrued Interest represents the portion of interest earned as of the end of the quarter, that will be paid in a future month. Federal Securities typically pay interest twice a year
(6 month intervals) and LAIF interest is distributed quarterly approximately 15 days following the end of the quarter.
'a.
CITY OF DUBLIN
Portfolio Management
Portfolio Details -Investments
March 31, 2009
CUSIP Investment # Issuer Average Purchase
Balance Date Par Value Market Value
Page 1
Stated Days to YTM/C Maturity
Book Value Rate Term Mat./CalE65 Equiv Date
Money Market Accounts
SYS10044 10044 Columbia Funds
SYS10046 10046 Fidelity US Govt Portfolio
Subtotal and Average
LAIF
SYS10043 10043 LAIF
Subtotal and Average
CAMP
28,231,944.44
SYS10076 10076 California Asset Management Pr
Subtotal and Average
Federal Agency Coupon Securities
3133XSDP0 10083 Federal Home Loan Bank
3133X9BF6 10066 Federal Home Loan Bank
31331XEE8 10032 Federal Farm Credit Bank
3128X2PQ2 10033 Federal Home Loan Mtg Corp
3136F6W54 10048 Federal National Mtg Assn
31359MA94 10054 Federal National Mtg Assn
31398AQN5 10080 Federal National Mtg Assn
31398ABT8 10034 Federal National Mtg Assn
3133XGLE2 10036 Federal Home Loan Bank
3133XQUH3 10069 Federal Home Loan Bank
31331XNE8 10037 Federal Farm Credit Bank
3133XRYJ3 10079 Federal Home Loan Bank
31331XRQ7 10055 Federal Farm Credit Bank
31331XWU2 10049 Federal Farm Credit Bank
31331 GCQO 10081 Federal Farm Credit Bank
3133XHKF8 10039 Federal Home Loan Bank
3136F8U37 10059 Federal National Mtg Assn
31331Y5J5 10078 Federal Farm Credit Bank
3136F82S3 10060 Federal National Mtg Assn
3133XQ4C3 10065 Federal Home Loan Bank
3133XKNN1 10041 Federal Home Loan Bank
3133XLEN9 10042 Federal Home Loan Bank
31398AGR7 10052 Federal National Mtg Assn
Run Date: 04/25/2009 - 12:19
2,185,420.04
07/01/2008 0.00 0.00 0.00 2.130 1 1 2.130
4,631,365.97 4,631,365.97 4,631,365.97 0.430 1 1 0.430
4,631,365.97 4,631,365.97 4,631,365.97 1 1 0.430
55,519.21
24,448,073.47 24,448,073.47 24,448,073.47 1.910 1 1 1.910
24,448,073.47 24,448,073.47 24,448,073.47 1 1 1.910
55, 519.21 55, 519.21 55, 519.21 1.020 1 1 1.020
55,519.21 55,519.21 55,519.21 1 1 1.020
09/29/2008 3,000,000.00 3,036,570.00 3,001,809.67 3.375 365 181 3.250 09/29/2009
04/03/2008 3,000,000.00 3,044,070.00 3,017,194.32 3.500 579 216 2.500 11/03/2009
01/10/2007 2,000,000.00 2,049,380.00 1,999,501.98 4.850 1,045 233 4.890 11/20/2009
03/06/2007 3,000,000.00 3,097,620.00 3,005,228.57 5.000 1,060 303 4.770 01/29/2010
08!31/2007 1,500,000.00 1,555,320.00 1,501,666.06 4.810 94$ 369 4.690 04/05/2010
09/13/2007 2,000,000.00 2,075,000.00 2,004,287.51 4.750 950 384 4.530 04/20/2010
09/12/2008 3,000,000.00 3,061,890.00 3,000,000.00 3.050 593 392 3.049 04/28/2010
06/27/2007 2,000,000.00 2,008,120.00 1,995,020.99 5.080 1,052 43 5.321 05/14/2010
01/26/2007 3,000,000.00 3,179,070.00 3,001,647.75 5.125 1,323 527 5.080 09/10/2010
04/28/2008 1,500,000.00 1,543,590.00 1,500,000.00 3.125 913 575 3.125 10/28/2010
02/14/2007 2,000,000.00 2,131,880.00 2,000,305.26 5.050 1,448 671 5.040 02/01/2011
08/29/2008 3,000,000.00 3,031,890.00 3,000,000.00 3.720 910 146 3.720 02/25/2011
11/15/2007 1,655,000.00 1,762,061.95 1,673,024.45 4.850 1,210 707 4.240 03/09/2011
08/31/2007 1,000,000.00 1,066,560.00 1,000,900.27 4.800 1,333 754 4.750 04/25/2011
09!29/2008 3,000,000.00 3,036,570.00 3,000,000.00 4.050 1,095 181 4.050 09/29/2011
11/09/2006 3,000,000.00 3,071,250.00 3,000,000.00 5.250 1,826 222 5.250 11/09/2011
02!08/2008 3,000,000.00 3,060,000.00 3,000,000.00 3.570 1,461 313 3.570 02/08/2012
08/21/2008 3,000,000.00 3,031,890.00 3,000,000.00 4.020 1,279 142 4.020 02/21/2012
02!22/2008 3,000,000.00 3,055,320.00 3,000,000.00 3.300 1,461 327 3.300 02/22/2012
04/03/2008 3,000,000.00 3,132,180.00 3,016,318.31 3.500 1,436 1,073 3.300 03/09/2012
05/03/2007 3,000,000.00 3,116,250.00 3,000,000.00 5.020 1,827 397 5.020 05/03/2012
06/15/2007 3,000,000.00 3,148,140.00 3,000,000.00 5.560 1,827 440 5.560 06/15/2012 ~~
09/10/2007 2,000,000.00 2,035,620.00 2,000,000.00 5.200 1,827 162 5.200 09/10/2012
`., Jv
Portfolio DINV
AP
PM (PRF _PM2) 7.1.1 J~.~
Report Ver. 7.1.1
CITY OF DUBLIN
Portfolio Management
Portfolio Details -Investments
March 31, 2009
Page 2
Average Purchase Stated Days to YTM/C Maturity
CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Mat./CalE65 Equiv Date
Federal Agency Coupon Securities
3133XNST7 10058 Federal Home Loan Bank 12/27!2007 2,000,000.00 2,095,620.00 2,000,000.00 4.420 1,827 635 4.420 12/27/2012
3133XQYC0 10070 Federal Home Loan Bank 05/1312008 3,000,000.00 3,053,430.00 3,000,000.00 4.000 1,826 226 4.000 05/13/2013
3128X1EJ2 10084 Federal Home Loan Mtg Corp 10/14/2008 3,000,000.00 3,223,470.00 3,027,787.64 4.250 1,681 1,512 4.002 05/22/2013
3128X7WV2 10074 Federal Home Loan Mtg Corp 06/10/2008 3,000,000.00 3,140,160.00 2,992,926.56 4.050 1,826 800 4.113 06/10!2013
3133XRFL9 10077 Federal Home Loan Bank 07/25/2008 3,000,000.00 3,230,640.00 2,999,819.37 4.250 1,785 1,535 4.250 06/14/2013
3133X06A4 10082 Federal Home Loan Bank 09/26/2008 3,000,000.00 3,246,570.00 3,044,940.27 4.375 1,813 1,626 4.000 09/13/2013
Subtotal and Average 77,010,965.96 74,655,000.00 77,320,131.95 74,782,378.98 1,344 527 4.188
Total and Average 107,483,849.65 103,789,958.65 106,455,090.60 103,917,337.63 968 380 3.483
Run Date: 04/25/2009 - 12:19
Portfolio DINV'~-
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CUSIP Investment# Fund
Fund: General Fund
Federal Agency Coupon Securities
31331XEE8 10032 001
31331XNE8 10037 001
31331XWU2 10049 001
31331XRQ7 10055 001
31331Y5J5 10078 001
31331 GCQO 10081 001
3133XGLE2 10036 001
3133XHKF8 10039 001
3133XKN N 1 10041 001
3133XLEN9 10042 001
3133XNST7 10058 001
3133XQ4C3 10065 001
3133X96F6 10066 001
3133XQUH3 10069 001
3133XQYC0 10070 001
3133XRFL9 10077 001
3133XRYJ3 10079 001
3133XD6A4 10082 001
3133XSDP0 10083 001
3128X2PQ2 10033 001
3128X7WV2 10074 001
3128X1EJ2 10084 001
31398ABT8 10034 001
3136F6W54 10048 001
31398AGR7 10052 001
31359MA94 10054 001
3136F8U37 10059 001
3136F82S3 10060 001
31398AQN5 10080 001
Run Date: 04/25/2009 - 12:21
CITY OF DUBLIN
Investments by Typ
Active Investments
March 31, 2009
Issuer Par Value
Federal Farm Credit Bank 2,000,000.00
Federal Farm Credit Bank 2,000,000.00
Federal Farm Credit Bank 1,000,000.00
Federal Farm Credit Bank 1,655,000.00
Federal Farm Credit Bank 3,000,000.00
Federal Farm Credit Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 2,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 1,500,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Bank 3,000,000.00
Federal Home Loan Mtg Corp 3,000,000.00
Federal Home Loan Mtg Corp 3,000,000.00
Federal Home Loan Mtg Corp 3,000,000.00
Federal National Mtg Assn 2,000,000.00
Federal National Mtg Assn 1,500,000.00
Federal National Mtg Assn 2,000,000.00
Federal National Mtg Assn 2,000,000.00
Federal National Mtg Assn 3,000,000.00
Federal National Mtg Assn 3,000,000.00
Federal National Mtg Assn 3,000,000.00
General Fund Subtotal 74,655,000.00
e
Purchase
Price
99.8880000
100.0330000
100.1590000
101.8630000
100.0000000
100.0000000
100.1380000
100.0000000
100.0000000
100.0000000
100.0000000
100.7280000
101.5410000
100.0000000
100.0000000
99.9930000
100.0000000
101.6710000
100.1220000
100.6100000
99.7187500
101.0300000
99.3594000
100.2850000
100.0000000
100.5300000
100.0000000
100.0000000
100.0000000
Book Value
1, 999, 501.98
2,000,305.26
1, 000, 900.27
1, 673, 024.45
3,000,000.00
3, 000, 000.00
3,001,647.75
3,000,000.00
3, 000, 000.00
3,000,000.00
2,000,000.00
3,016,318.31
3,017,194.32
1,500,000.00
3,000,000.00
2,999,819.37
3,000,000.00
3,044,940.27
3, 001, 809.67
3,005,228.57
2,992,926.56
3,027,787.64
1, 995, 020.99
1, 501,666.06
2,000,000.00
2,004,287.51
3,000,000.00
3,000,000.00
3,000,000.00
74,782,378.98
City of Dublin
Current Maturity Call Call
Rate Date Date Price
4.850 11 /20/2009
5.050 02/01/2011
4.800 04/25/2011
4.850 03/09/2011
4.020 02/21/2012 08121/2009 100.0000000
4.050 09/29/2011 09/29/2009 100.0000000
5.125 09/10/2010
5.250 11 /09/2011 11 /09/2009 100.0000000
5.020 05/03/2012 05/03/2010 100.0000000
5.560 06/15/2012 06/15/2010 100.0000000
4.420 12/27/2012 12/27/2010 100.0000000
3.500 03/09/2012
3.500 11 /03/2009
3.125 10/28/2010
4.000 05/13/2013 11/13/2009 100.0000000
4.250 06/14/2013
3.720 02/25/2011 08/25/2009 100.0000000
4.375 09/13/2013
3.375 09/29/2009
5.000 01 /29/2010
4.050 06/10/2013 06/10/2011 100.0000000
4.250 05/22/2013
5.080 05/14/2010 05/14/2009 100.0000000
4.810 04/05/2010
5.200 09/10/2012 09/1012009 100.0000000
4.750 04/20/2010
3.570 02/08/2012 02/08/2010 100.0000000
3.300 02/22/2012 02/22/2010 100.0000000
3.050 04/28/2010
~~~
Portfolio DIN
A
DT (PRF_DT) 7.1.
Report Ver. 7.1.1
~~ /~
QUARTERLY INVESTMENT REPORT
Third Quarter Fiscal Year 2008-2009
March 31, 2009
Section II -Investment Charts
Attachment 1
INVESTMENT CHARTS FOR THE QUARTER ENDING MARCH 31, 2009
INVESTMENT CHARTS FOR THE QUARTER ENDING MARCH 31, 2009 ~~~~ ~'~,1
March 31, 2009 -Portfolio Maturities
000 ._....,.~. ____~_,.._._.__..~.. _________._........~._._..
.____~._~
.__
_
$35
000
,
, .
_
_
_ ..~.~
$2 9,134,95 9
000
000
$30 - - -
,
, 1
$25,000,000 - - _ - _ - -
$20,000,000 -_ -- -- --. _ __ _- -- ------- ---- - - _ _ . _ __ i
$15,000,000 $19,6>.~00 ----{~$15~.!,rn,i,000 - -------- --
$10,000,000
-- - $15,000,000
-- ---
_ _ - - --
- -- $11,000,000 -
$10,000,000
$5,000,000 - - - - -
i
$0
No Maturity Date (1 Yr or Less) (I Yr - 2 Yr) (2 Yr - 3 Yr) (3 Yr - 4 Yr) (4 Yr - 5 Yr)
9~ia
QUARTERLY INVESTMENT REPORT
Third Quarter Fiscal Year 2008-2009
March 31, 2009
Section III -
Listing of Monthly Investment Transactions
Attachment 1
CITY OF DUBLIN
Cash/Checking Activity
January 1, 2009 -January 31, 2009
City of Dublin
Issuer Current Transaction
Investment # Fund Security ID Rate Date Comment Deposits Withdrawals Interest Received Balance
Money Market Accounts
Fidelity US Govt Portfolio
10046 001 SYS10046
0.660 01 /01 /2009
0.660 01/02/2009
0.660 01!07/2009 Inv #10063
0.660 01/07/2009 Call Inv #10063
0.660 01/09/2009 Call inv#10068
0.660 01/09/2009 Int on Inv#10068
0.660 01/12/2009 Transfer to LAIF
0.660 01/16/2009 Payment of fees
0.660 01/16/2009 Collection of fees
0.660 01/29/20091nton Inv#10033
Subtotal and Ending Balance 0.660
___ ___
85,839.55
65,839.55
1,304.88 67,144.43
22,500.00 89,644.43
3,000,000.00 3,089,644.43
3,000,000.00 6,089,644.43
51,150.00 6,140,794.43
6,100,000.00 40,794.43
875.00 41,669.43
875.00 40,794.43
75,000.00 115,794.43
6,149,525.00 6,100,875.00 1,304.88 115,794.43
LAIF
LAIF
10043 001 SYS10043 33,574,518.16
2.540 01/07/2009 4,300,000.00 29,274,518.16
2.540 01/12/2009 UBOC 6,100,000.00 35,374,518.16
2.540 01/15/2009 163,555.31 35,538,073.47
2.540 01/16/2009 1,030,000.00 36,568,073.47
2.540 01/21/2009 1,200,000.00 35,368,073.47
Subtotal and Ending Balance 2.540 7,130,000.00 5,500,000.00 163,555.31 35,368,073.47
CAMP
California Asset Management Pr
10076 001 SYS10076 55,336.24
2.480 01/01/2009 81.44 55,417.68
Subtotal and Ending Balance 2.480 0.00 0.00 81.44 55,417.68
Total
Run Date: 04!25/2009 - 12:24
13,279,525.00 11,600,875.00
184,941.63 35,539,285.58
Portfolio
Ate
LP (PRF LP) 7.~1 ~
Report Ver 7. ~1
~' J~!'~. City of Dublin
~~~~ ~R1 CITY OF DUBLIN "
~~~ J/ Cash/Checking Activity
~~~ < ~~,/ February 1, 2009 -February 28, 2009
Issuer Current Transaction
Investment# Fund SecuritylD Rate Date Comment
Deposits Withdrawals Interest Received
Money Market Accounts
Fidelity US Govt Portfolio
10046 001 SYS10046
Subtotal and Ending Balance
LAIF
LAIF
10043 001 SYS1004
Subtotal and Ending Balance
0.590 02/01/2009
0.590 02/02/2009 Int on Inv#10037
0.590 02/02/2009
0.590 02/06/2009 call inv#10035
0.590 02/06/2009 Int on Inv#10035
0.590 02/09/2009 Int on inv#10059
0.590 02/12/2009 wire transf to BofA
0.590 02/23/2009 maturity of inv#10027
0.590 02/23/2009 Int on inv#10078
0.590 02/23/2009 Int on inv#10060
0.590 02/23/2009 Int on inv#10027
0.590 02!25/2009 Int on inv#10079
0.590
3
2.540 02/05/2009
2.540 02/11/2009
2.540 02/12/2009
2.540 02/17/2009
2.540 02/20!2009
2.540
1, 700,000.00
140,000.00
1,430, 000.00
600,000.00
1, 650, 000.00
1,650,000.00 3,870,000.00
35,368,073.47
33,668,073.47
33, 528, 073.47
32,098,073.47
31,498,073.47
33,148,073.47
0.00 33,148,073.47
CAMP
California Asset Management Pr
10076 001 SYS10076 55,417.68
1.020 02/01/2009 55,417.68
1.020 02/02/2009 58.14 55,475.82
1.020 02/27/2009 43.39 55,519.21
Subtotal and Ending Balance 1.020 0.00 0.00 101.53 55,519.21
~`
'"'+
Total
4,996,700.00 6,140,000.00 710.53 .. _
34,396,696.t~ ~
AP ~
Run Dat=~ 04/25/2009 - 1224 ~ LP (PRF_LP) 7.1~
"'
Report Ver. 7.1./1
50, 500.00
2,000,000.00
51, 800.00
53,550.00
1, 000, 000.00
60,300.00
49, 500.00
25,250.00
55,800.00
3,346,700.00
2,270,000.00
2,270,000.00
609.00
Balance
115,794.43
115,794.43
166,294.43
166,903.43
2,166, 903.43
2,218,703.43
2,272,253.43
2,253.43
1, 002, 253.43
1,062,553.43
1,112,053.43
1,137, 303.43
1,193,103.43
609.00 1,193,103.43
City of Dublin
`~ ~!~ -
~~s~ ~~ CITY OF DUBLIN
~~~~~~f Cash/Checking Activity
~~~ ~/~ March 1, 2009 -March 31, 2009
Issuer Current Transaction
Investment # Fund Security ID Rate Date Comment Deposits Withdrawals Interest Received Balance
Money Market Accounts
Fidelity US Govt Portfolio
10046 001 SYS10046 1,193,103.43
0.430 03/01/2009 1,193,103.43
0.430 03/02/2009 378.79 1,193,482.22
0.430 03/09/20091ntinv#10055 40,133.75 1,233,615.97
0.430 03/09/2009 Int inv# 10065 52,500.00 1,286,115.97
0.430 03/10/2009 Int inv# 10036 76,875.00 1,362,990.97
0.430 03/10/2009 Int inv# 10052 52,000.00 1,414,990.97
0.430 03/13/2009 Int inv# 10082 65,625.00 1,480,615.97
0.430 03/24/2009 Full call inv# 10061 3,000,000.00 4,480,615.97
0.430 03/24/2009 Int inv# 10061 39,375.00 4,519,990.97
0.430 03/30/2009 Int inv# 10081 60,750.00 4,580,740.97
0.430 03/30/2009 Int inv# 10083 50,625.00 4,631,365.97
Subtotal and Ending Balance 0.430 3,437,883.75 0.00 378.79 4,631,365.97
LAIF
LAIF
10043 001 SYS10043 33,148,073.47
2.540 03/04/2009 3,000,000.00 30,148,073.47
2.540 03/20/2009 5,700,000.00 24,448,073.47
1.910 03/31/2009 24,448,073.47
Subtotal and Ending Balance 1.910 0.00 8,700,000.00 0.00 24,448,073.47
Total
3,437,883.75 8,700,000.00 378.79
29,079,439.44
Run Date: 04/25/2009 - 12:25
N
Portfolio DI~
LP (PRF_LP) 7p1~1
Report Ver. 7.1.1