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HomeMy WebLinkAbout2006-06-06; City Council; 18577; Report on City Investements as of 04/03/06ODC 8: U U CITY OF CARLSBAD - AGENDA BILL 18,577AB* MTG. DEPT. TRS 6/6/06 TITLE: REPORT ON CITY INVESTMENTS AS OF APRIL 30, 2006 DEPT. H CITY A CITY MGRT RECOMMENDED ACTION: Accept and file report. ITEM EXPLANATION: The City's Investment Policy requires the City Treasurer to report to the City Council on a monthly basis the status of the City's pooled investment portfolio. A quarterly report is also required for the investments of bond proceeds held separately. The City's pooled investment portfolio as of the month ended April 30, 2006 is summarized below. Pooled Investment Portfolio (Cash and Securities) Par Value Cost of Investments Amortized Cost (1) Market Value (2) Current Month 512,244,225 511,984,129 51 1 ,281 ,640 504,321,465 Prior Month 505,184,836 505,097,189 504,310,336 497,450,830 (1) The cost of investments adjusted for amortized premiums and discounts. (2) The amount at which the investments could be sold. Source of market values is Union Bank of California's custodial report as of 04/30/06. The equity portion of the various funds in the total portfolio is summarized in the graph below. Fund balances are restricted for various purposes. See Exhibit 7 for a more detailed breakdown. FUND EQUITY IN POOLED INVESTMENTS (Dollar Amounts in Millions) Special Revenue 33.7 Capital Projects $ 228.4 General $60.8 Other $4.5 Internal Service $21.2 $25.0 Enterprise$137.7 Total Treasurer's Investment Portfolio at Amortized Cost $511.3 Million PAGE TWO Pooled Investment Interest Income Cash Income Fiscal Year-to-Date * Current Month FYTD 14,942,288 Prior Month FYTD 13,139,857 Current Month Income 1 ,802,431 *The cash income received is adjusted for any accrued interest purchased. Pooled Investment Performance/Measurement February 2005 March 2006 April 2006 Average Life (Years) 2.12 2.16 2.21 Average Yield 4.04% 4.08% 4.09% Modified Duration 1.937 1.971 2.004 All pooled investments have been made in accordance with the City's Investment Policy adopted January 2, 1985 and last revised October 18, 2005. All investments were initially made in accordance with the City's Investment Policy. Events subsequent to the purchase might have resulted in some investments not being in compliance with the current policy. These events are typically a change in the City's Investment Policy, a change in the credit rating subsequent to a purchase, or a temporary reduction in total portfolio assets. See Exhibit 8 for details. The pooled investment portfolio has the ability to meet the City's cash flow demands for the next six (6) months. EXHIBITS FOR POOLED INVESTMENTS: 1 . Investment Portfolio Breakdown By Amortized Cost, Market Value, Cash Income, and Average Yield 2. Investment Portfolio Breakdown Of Maturities 3. Yield Comparison Graph 4. Cumulative Cash Income Graph 5. Fourth Quarter Transactions 6. Detailed Investment Report 7. Fund Equity in Pooled Investments 8. Corporate Note and Commercial Paper Ratings 9. Percentage Weightings By Corporate Note Issuer Department Contact: Nancy Sullivan (760)602-2473 nsull@ci.carlsbad.ca.us EXHIBIT 1 COCO 3 CO Q.4 UJ UJ 1o o UJ UJO<ccUJ < ^,o a. o CVl o.C CM 0 V £ 3o co (3 5 g op d 0 0u. CC 0CL I- (Oz °111 O 5 „ 1— ® CO "UJ -J ^ E£= CL§22 o 33cc<o U_ O I— o S! i UJ1 § J. CO<*o„Uj 1»J 21- ^J£I K» 8o Q !*j Kcc § ^.OQ I O Q c o— fi i32 o oo o •£• °. °. 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CO CM O cjCD 00 CD CD(v. CD CDen CM CM T-" CO" CO" tv-r-ocMOTtcncviOT— •<* Tf" cj~ •*" co" co" •*" CM" CM" m" ^-" CM" CMin CD |v. OCM CM OCM T- O CD T-o" criCM §00000000000000oooooooooooooo o CD en i- i- oo eo rv CD CM o ooooooooomoooooOOOOOOOOOCMOOOOOooooooooocnooooocj" co" co" CM" in" co" •>*" co" co" co" co" co" in" CM" co" 3 in8!o" Is-" en" en" T- CJ CMCM" In 12/06 NON-CALL§LQ UJ Q 5? Rin Z BC COMMUNICATIOCO _i O in 875% DUE 08/1BC-PACIFIC BELL 6.co 1 o in 875% DUE 08/1BC-PACIFIC BELL 6.CO 11/07 NON-CALL^. 5.250% DUE 2LLSTATE FINANCIA1< _i O ^5.375% DUE 3/ENERAL ELEC CAPCD _i O ^?5.375% DUE 3/ENERAL ELEC CAPCD _i 2 O DUE 4/1 5/07 NIREDIT SUIS 5.875%O _i OZ % DUE 6/1 5/07ENERAL ELEC 5.00CD i/1 5/07 NON-CALLUJ GE 7.1 5% DUEECURITY CAPITAL -CO UE 8/29/07 NON-CQ USE FIN 6.95%E CAPITAL FRANCHCD _i O o LU Q inCM z fORLD SAVINGS BAI3. _i r*i DUE 7/29/1 ONCS BANCORP 4.50% ID _l O Z 'UE 2/1 4/11 NOITIGROUP 5.125% DO _i Oz 'UE 2/1 4/11 NOITIGROUP 5.125% DO Oz DUE 3/1/11 NOOME DEPOT 5.20%I I CD CO oo - LU LU < oX ^ £ sS !o ° H o:g m couj 2 2 E |co O Z * O DCOo LU LU o o ICO OC CD OO LL LL LL < < < zzzzzzzzzzzzzzzooooooooooooooo o o o o o o EXHIBIT 7 CITY OF CARLSBAD Fund Equity in Pooled Investments AS OF APRIL 30, 2006 Cash Balance by Fund: General 60,813,671 Special Revenue 33,738,901 Debt Service 3,173,544 Capital Projects: General Capital Construction 50,832,978 Traffic Impact Fees 11,152,557 Public Facilities Fees 39,713,719 Park Development 4,391,309 Transnet Taxes 8,026,439 Drainage Fees 9,903,620 Special Districts 81,144,453 Infrastructure Replacement 21,985,253 Other Capital Construction 1,286,807 Total 228,437,135 Enterprise: Carlsbad Municipal Water District 52,670,589 Sewer Fund 62,800,516 Solid Waste 6,552,174 Storm Water 703,262 Golf Course 14,985,765 Total 137,712,307 Internal Service 21,179,129 Agency Funds 24,999,523 Redevelopment Funds (1) 0 Misc. Special Funds 0 Total General Ledger Balance ** 510,054,209 Reconciling Adjustments (2) 1,227,430 Total Treasurer's Investment Portfolio at Amortized Cost 511,281,640 (1) Redevelopment Fund Balances are interspersed throughout all funds. (2) The Reconciling Adjustments consist of differences between the General Ledger which is prepared on an accrual basis and the Treasurer's report which is prepared on the cash basis. Accrued Interest, amortized premium or discounts and outstanding checks and deposits in transit are not included in the Treasurer's summary. Differences between the time journal entries are posted and the time this report is produced may also be a component of the adjustment. ** Figures based on best estimate at the time report run on 05/05/06 EXHIBIT 8 CITY OF CARLSBAD INVESTMENT PORTFOLIO AS OF APRIL 30, 2006 CORPORATE NOTE AND COMMERCIAL PAPER RATINGS Corporate Note Investments Meeting the Current Investment Policy: (Ratings must be AA or better by both Moody's and S&P) Moodv's S&P ALLSTATE FINANCIAL AA2 AA CITIGROUP AA1 AA- GENERAL ELECTRIC AAA AAA HOME DEPOT AA3 AA SECURITY CAPITAL - GE AAA AAA US BANCORP AA2 AA- WORLD SAVINGS BANK AA3 AA- Commercial Paper Investments Meeting the Current Investment Policy: (Ratings must be A1/P1 or better by both Moody's and S&P) (Ratings of other debt must be AA or better by Moody's or S&P) Investments with Subsequent Changes in Credit Rating CREDIT SUISSE PACIFIC BELL SBC COMMUNICATIONS * The City's Investment Policy allows the City Treasurer to determine the course of action that would correct exceptions to the policy. All of these investments are paying interest at the required times. The principal of all investments are considered secure. It is the intent of the City Treasurer to hold these assets in the portfolio until maturity unless events indicate they should be sold. Moodv's AA3 A2 A2 Latest S&P Maturity Date Purchased A+ A A 04/18/07 08/15/06 05/02/06 AA3/AA- AA3/AA- AA3/AA- Carrying Value 4,056,993 6,038,524 1 ,999,988 Market Value 4,015,320 6,023,700 2,000,000 EXHIBIT 9 CITY OF CARLSBAD INVESTMENT PORTFOLIO AS OF APRIL 30, 2006 WEIGHTINGS FOR CORPORATE AND FEDERAL AGENCY ISSUERS PERCENTAGE WEIGHTINGS BY CORPORATE NOTE ISSUER Investment Cost Percent of Portfolio* ALLSTATE FINANCIAL CITIGROUP CREDIT SUISSE GENERAL ELECTRIC CAP SECURITY CAPITAL HOME DEPOT SBC COMMUNICATIONS PACIFIC BELL US BANKCORP WORLD SAVINGS BANK FSB 1,995,651.84 6,991,793.10 4,270,881.12 15,445,257.01 3,380,298.92 2,974,590.00 1,978,738.00 6,532,601.68 2,952,150.09 2,999,689.80 0.39% 1.37% 0.83% 3.68% 0.58% 1.66% 0.58% 0.59% PERCENTAGE WEIGHTINGS BY FEDERAL AGENCY ISSUER FEDERAL FARM CREDIT BANK FEDERAL HOME LOAN BANK FEDERAL HOME LOAN MORTGAGE CORP FNMA DISCOUNT NOTE FEDERAL NATIONAL MORTGAGE ASSOC Investment Cost Percent of Portfolio** 5,990,313.30 169,734,221.81 147,843,541.32 9,659,665.28 99,241,510.66 1.17% 33.15% 28.88% 1.89% 19.38% Total Portfolio * No more than 5% may be invested with a single corporate issuer. **There are no percentage limits on federal agency issuers. $511,984,129.41