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HomeMy WebLinkAboutQuarterly Investment Report 2017-Q1Overview of Main Portfolio Blended 1 Core 2 60 60  620 Blended 1 Core 2 0.78% 1.21% 1 Blended = Liquid (Cash+LGIP) plus Fixed Income Portfolio 2 Core = Main investments of the City defined maturities (Fire Pension is Excluded) Current % Blended Allowed per  policy Current Portfolio (principal value) 29% N/A  $           50,919,413  0% 100%‐$                           43% 75% 75,265,535$            10% 75% 18,453,255$            18% 75% 31,306,761$            0% 25%‐$                           TOTAL INVESTMENTS 100% 175,944,964$          *Excluding Cash the portfolio distribution is 60% LGIP; 25% CD's; 15% GSE's By Institution Current % Blended Allowed by  Policy Current Portfolio (principal value)Maturity Date APY Weighted Yield Blended Current  Principal  Balance Cash US Bank ‐ Cash 29% N/A 50,919,413 overnight 0.45% 0.13%50,919,413      US Treasury Securities none 0% 100% ‐                              N/A N/A N/A ‐                           Local Government Investment Pool 3920 State Investment Pool 43% 75%75,265,535 10/1/2014 0.10% 0.30%75,265,535         US Federal Agency Securities* 314179A FHLB 1,996,920             8/11/2017 1.05% 0.01% 315189D FNMA 4,997,500             10/26/2018 1.06% 0.03% 314179G FHLB 5,009,485             10/17/2017 0.93% 0.03% 315209A FHLMC 1,600,000             5/26/2020 1.75% 0.02% 314179C FNMA 4,849,350             11/28/2017 1.00% 0.03% Certificates of Deposit 115184A First Savings Bank Northwest 5,092,087 2/6/2018 1.03% 0.03% 116214A First Savings Bank Northwest 5,154,418 2/3/2021 1.67% 0.05% 114174A First Savings Bank Northwest 5,000,000 10/29/2017 1.15% 0.03% 116191A Opus 5,000,000 2/25/2019 1.00% 0.03% 116181A Opus 5,000,000 12/21/2018 1.35% 0.04% 116191B Opus 5,000,000 12/21/2019 1.60% 0.05% 216183A Commencement Bank (CDARS)1%1,060,257 9/16/2018 1.00% 0.01%1,060,257             Commercial Paper none 0.00% 5% ‐                              N/A N/A N/A ‐                           175,944,964$        175,944,964$   18,453,255          75%10% Cash US Treasury Securities Local Government Investment Pool US Federal Agency Securities Certificates of Deposit Commercial Paper By Type Current March 31, 2017 Weighted Average Maturity excluding Fire Pension Duration allowed by Policy Current Duration (in months) Weighted Average Yield excluding Fire Pension 15,246,504           *Held in our safekeeping account at BNY Trust and Custody TOTAL CASH & INVESTMENTS 20% 9% 15,000,000          9% Cash 29% LGIP 43% GSE's 10% CD's 18% Distribution by Type 0.00% 0.20% 0.40% 0.60% 0.80% 1.00% 1.20% 1.40% RENTON  CORE RENTON  BLENDED SIP FED FUNDS  RATE 2Y TREAS 1.21% 0.78%0.71%0.79% 1.31% How do we compare? (see Performance Measures) KLR: 2017 Q1 Report to the Investment Committee 2 of 38