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2011-02-22; City Council; 20463; REPORT CITY INVESTMENTS
CITY OF CARLSBAD - AGENDA BILL AB# 2Q463 MTG. 2/22/11 DEPT. TRS REPORT ON CITY INVESTMENTS AS OF JANUARY 31, 2011 DEPT. HEAD %- CITYATTY. <&*• CITY MGR. UA~^ 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 January 31, 2011 is summarized below. Pooled Investment Portfolio (Cash and Securities) Par Value Cost of Investments Amortized Cost (1) Market Value (2) Current Month 575,069,009 582,052,383 578,511,599 584,509,062 Prior Month 564,914,652 572,030,677 568,656,513 574,871,875 (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 1/31/11. The equity portion of the various funds in the total portfolio is summarized in the graph on the next page. Fund balances are restricted for various purposes. See Exhibit 8 for a more detailed breakdown. The $10 million increase between December 2010 and January 2011 reports was due to the receipt of $3.88 and $3.14 million of Motor Vehicle and Sales Tax In Lieu payments as well as $9.4 million in property tax payments during the month of January. FOR CITY CLERKS USEONLT. COUNCIL ACTION: APPROVED j^Sw DENIED / D CONTINUED D WITHDRAWN D AMENDED D CONTINUED TO DATE SPECIFIC D CONTINUED TO DATE UNKNOWN D RETURNED TO STAFF D OTHER - SEE MINUTES D DEPARTMENT CONTACT: Nancy Sullivan (760) 602-2473 Nancv.Sullivan@carlsbadca.gov PAGE 2 OF AB REPORT ON CITY INVESTMENTS AS OF JANUARY 31. 2011 FUND EQUITY IN POOLED INVESTMENTS (Dollar Amounts in Millions) General Special Revenue S69 ^ $49 Internal Service Agency Enterprise $16 Total Treasurer's Investment Portfolio at Amortized Cost January 31,2011 $578.5 million Pooled Investment Interest Income Cash Income Fiscal Year-to-Date * Current Month FYTD 8,542,598 Prior Month FYTD 7,612,733 Current Month Income 929,865 The cash income received is adjusted for any accrued interest purchased. Pooled Investment Performance/Measurement November 2010 December 2010 January 2011 Average Life (Years) 1.56 1.71 1.67 Average Yield To Maturity 2.02% 2.06% 2.06% Modified Duration 1.484 1.619 1.594 All pooled investments have been made in accordance with the City's Investment Policy adopted January 2, 1985 and last revised March 23, 2010. 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 9 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. Market Yield Curve 5. Cumulative Cash Income Graph 6. Third Quarter Transactions 7. Detailed Investment Report 8. Fund Equity in Pooled Investments 9. Corporate Note and Commercial Paper Ratings 10. Percentage Weightings By Corporate Note Issuer CITY OF CARLSBAD INVESTMENT PORTFOLIO AS OF JANUARY 31, 2011 BREAKDOWN BY AMORTIZED COST, MARKET VALUE, CASH INCOME, AND AVERAGE YIELD BY CLASS AMORTIZED COST MARKET VALUE AVERAGE YIELD Class CD FN CP TR FA CN LAIF CUSTODY SWEEP BANKACCT Current Month 0 14,568,319 0 40,086,158 315,432,237 91,417,876 115,418,730 818 1,223,978 363,484 Prior Month Current Month 0 0 13,515,006 0 46,098,686 309,644,924 91,469,245 102,206,000 - 4,897,086 825,566 14,751,039 0 40,264,590 318,815,041 93,671,383 115,418,730 818 1,223,978 363,484 Prior Month 0 13,704,600 0 46,286,450 313,095,769 93,856,404 102,206,000 0 4,897,086 825,566 Cash Income Year to Date Current Month Prior Month 0 0.00 0.00 0 0 489,375 5,336,241 2,373,887 341,281 267 1,548 0 2.05 0.00 0.79 2.22 4.03 0.53 0.04 0.05 0.05 2.58 0.00 0.75 2.21 4.03 0.47 0.04 0.10 0.10 TOTALS $578,511,599 $568,656,513 $584,509,062 $574,871,875 $8,542,598 2.06%2.06% CD - Certificate of Deposit FN - Federal Discount Notes CP - Corporate Paper TR - US Treasury FA - Federal Agency CN - Corporate Notes LAIF - Local Agency Investment Fund Custody - Investment Cash account SWEEP - General Fund Overnight Cash acccount Bank Account - General Fund Cash account xzc CITY OF CARLSBAD INVESTMENT PORTFOLIO AS OF JANUARY 31, 2011 BREAKDOWN OF MATURITIES BY CLASSIFICATION AND LENGTH OF TIME CLASS CD FN CP TR FA CN LAIF CUSTODY SWEEP BANK ACCT TOTALS % TOTALS Total within One WITHIN 6 MONTHS 0 956,370 0 22,110,625 23,880,452 25,189,161 115,418,730 818 1,223,978 363,484 $189,143,618 (1) 32.5% Year 7 MONTHS TO 1 YEAR 0 1,889,240 0 16,072,928 37,873,009 12,474,699 0 0 0 0 $68,309,875 (1) 11.7% $257,453,493 (1) 1 TO 5 YEARS 0 11,187,489 0 2,062,109 256,395,336 54,953,955 0 0 0 0 $324,598,889 55.8% TOTAL 0 14,033,099 0 40,245,662 318,148,798 92,617,815 115,418,730 818 1,223,978 363,484 $582,052,383 100.0% % TOTAL 0.0% 2.4% 0.0% 6.9% 54.7% 15.9% (2) 19.8% 0.0% 0.2% 0.1% 100.0% 44.2% POLICY: (1) Not less than $125,500,000 to mature within one year. (2/3rds of current year operating budget of $188,300,000.00) (2) Policy states that not more than 30% of portfolio is to be invested in corporate notes.xIEi—i DO YIELD COMPARISON PORTFOLIO EX-LAIF VS. LAIF JULY 1998 - JANUARY 2011 MARKET YIELD CURVE 6/30/09,6/30/10, 1/31/11 Market Rates 3Mth 2Yr 5Yr 3Mth 2Yr 5Yr 10 Yr —06/30/2009 -*- 06/30/2010 -^•01/31/2011 .18 .17 .15 1.11 .60 .56 2.55 1.77 1.94 3.53 2.93 3.37 10 Yr Xn:i—i D3 Cumulative Cash Income FY10-11 Cumulative Millions $ 16 14 12 10 8 6 4 2 (January 2011 )Monthly Interest Income Millions $ Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr May Jun ti=i Interest Income --«--Budget Actual 8 3 2 1 Xn:i—ioo City of Carlsbad TRANSACTIONS FOR PERIOD: 01/01/11 TO 01/31/11 3RD QUARTER 2010-2011 Trans Date BUYS JANUARY 01/14/2011 01/24/2011 01/12/2011 01/25/2011 01/12/2011 01/05/2011 TOTAL THIRD Investment Maturity Date 01/18/2011 01/25/2011 01/25/2011 01/26/2011 01/28/2011 01/28/2011 QUARTER Date 05/30/2014 07/21/2015 01/25/2016 01/26/2016 01/28/2014 01/28/2016 2010-2011 Type FA FA FA FA FA FA Security FICO FFCB FNMA FHLB FHLMC FHLMC Call Date N/A 02/02/201 1 07/25/201 1 07/26/2011 04/28/2011 07/28/201 1 Par Value 1,076,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 11,076,000.00 Coupon 0.000% 1.500% 2.600% 2.590% .75% STEP 2.150% Amount (Cost) 1,027,655.32 1,952,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 10,979,655.32 Return Rate 1.370% 2.063% 2.600% 2.590% 2.003% 2.605% 2.280% Interest 96,689.36 182,666.67 260,000.00 259,000.00 121,250.00 262,500.00 1,182,106.03 Investment Return 1,124,344.68 2,134,666.67 2,260,000.00 2,259,000.00 2,121,250.00 2,262,500.00 12,161,761.35 MATURITIES JANUARY 10/01/2009 01/31/2011 10/19/2009 01/31/2011 TOTAL THIRD QUARTER 2010-2011 CALLS and / or SALES 09/17/2010 09/20/2010 07/14/2015 01/13/2010 01/26/2010 07/26/2013 TOTAL THIRD QUARTER 2010-2011 TR TR FA FA US TREASURY US TREASURY FNMA FHLB N/A N/A 01/14/2011 01/26/2011 3,000,000.00 3,000,000.00 6,000,000.00 2,000,000.00 2,000,000.00 4,000,000.00 0.875% 0.875% 2.350% 2.125% 3,014,531.25 3,012,656.25 6,027,187.50 2,009,120.00 2,000,000.00 4,009,120.00 0.509% 0.544% 0.526% 2.240% 2.125% 2.183% 20,421.20 21,012.23 41,433.43 217,263.33 148,750.00 366,013.33 3,034,952.45 3,033,668.48 6,068,620.93 2,226,383.33 2,148,750.00 4,375,133.33 X 1C1—I CO INVESTMENT REPORT AS OF JANUARY 31, 2011 INVESTMENT DATE 02/20/2008 05/11/2009 06/22/2009 08/31/2007 05/08/2008 09/17/2008 03/09/2007 08/01/2007 08/31/2007 05/08/2008 03/31/2009 05/11/2009 12/30/2009 06/29/2009 10/01/2009 03/19/2007 01/23/2009 06/22/2009 03/05/2007 03/15/2007 01/23/2009 10/30/2007 12/08/2009 03/15/2007 12/07/2009 12/08/2009 03/19/2007 12/30/2009 12/09/2009 06/29/2009 05/21/2007 05/17/2010 07/25/2007 10/19/2009 07/25/2007 07/25/2007 07/15/2008 05/20/2010 10/20/2009 11/25/2009 01/20/2010 08/05/2008 03/24/2010 I 06/04/2010 12/24/2009 TYPE FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA SECURITY FHLB 2.875% NON-CALL FHLB 1.375% NON-CALL FHLB 1.125% NON-CALL FHLB 5.275% NON-CALL FHLB 5.25% NON-CALL FHLB 5.25% NON-CALL FNMA3.64% NON-CALL FAMCA5.50% NON-CALL FAMCA5.50% NON-CALL FAMCA5.5% NON-CALL FFCB 3.625% NON-CALL FAMCA 5.50% NON-CALL FHLMC 5.25% NON-CALL FHLB 1.625% NON-CALL FHLB 1.375% NON-CALL FHLB 5.75% NON-CALL FHLB 5.75% NON-CALL FFCB 3.875% NON-CALL FHLB 5.00% NON-CALL FHLB 5.00% NON-CALL FHLB 5.00% NON-CALL FHLMC 5.50% NON-CALL FFCB 1.128% NON-CALL FHLB 4.875% NON-CALL FHLB 4.25% NON-CALL FHLB 4.25% NON-CALL FHLB 4.875% NON-CALL FNMA 1.0% NON-CALL FFCB .875% NON-CALL FFCB 2.0% NON-CALL FFCB 4.875% NON-CALL FFCB 1.14% CALL 5/17/11 TVA 6.790% NON-CALL TVA 6.790% NON-CALL FHLB 5.375% NON-CALL FHLB 5.375% NON-CALL FHLB 4.375% NON-CALL FHLB 1.375% NON-CALL FFCB 2.125% NON-CALL FFCB 5.45% NON-CALL FHLMC 5.125% NON-CALL FFCB 3.950% NON-CALL FHLB 1.25% NON-CALL FHLMC 1.125% NON-CALL FNMA 5.00% NON-CALL PAR VALUE 3,000,000.00 1 ,000,000.00 2,000,000.00 1,000,000.00 1 ,000,000.00 2,000,000.00 2,000,000.00 3,000,000.00 629,000.00 2,000,000.00 1,000,000.00 1,000,000.00 1 ,737,000.00 2,000,000.00 1,000,000.00 3,000,000.00 1,000,000.00 3,000,000.00 2,000,000.00 3,000,000.00 1,000,000.00 3,000,000.00 3,000,000.00 3,000,000.00 1,000,000.00 2,000,000.00 3,000,000.00 3,000,000.00 1,000,000.00 4,000,000.00 2,000,000.00 3,000,000.00 2,000,000.00 3,000,000.00 1 ,000,000.00 1,000,000.00 3,000,000.00 5,000,000.00 3,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 5,000,000.00 1,037,000.00 INVESTED AMOUNT 2,993,378.76 1,001,350.00 1,988,700.00 1,020,930.00 1 ,055,434.00 2,132,207.14 1,909,480.00 3,034,380.00 644,775.32 2,116,712.00 1,044,420.00 1,072,970.00 1,853,035.07 2,012,680.00 1,006,100.00 3,111,810.00 1,097,950.00 3,152,520.00 2,018,200.00 3,032,352.00 1,077,520.00 3,117,300.00 3,014,854.10 3,018,777.00 1,061,850.00 2,126,060.00 3,009,690.00 2,994,090.00 997,136.00 4,036,800.00 1 ,987,880.00 3,000,000.00 2,130,980.00 3,399,498.48 1,005,040.00 1,005,254.43 3,050,958.11 5,036,422.30 3,049,023.21 2,210,347.28 1,092,760.00 2,002,900.00 2,000,352.89 5,004,198.09 1,127,519.73 RETURN RATE 2.950% 1.305% 1 .420% 4.761% 3.345% 2.720% 4.805% 5.175% 4.781% 3.545% 1 .639% 2.050% 0.900% 1.315% 1.375% 4.800% 1.818% 1 .490% 4.773% 4.730% 1.958% 4.390% 0.850% 4.720% 1.020% 0.956% 4.795% 1.105% 1.020% 1.630% 5.015% 1.140% 5.235% 1 .534% 5.255% 5.250% 3.900% 1.015% 1.496% 1 .280% 1.320% 3.910% 1.243% 1.085% 1.567% INTEREST 270,402.49 25,653.47 55,112.50 181,976.25 106,732.67 154,501.19 406,997.78 618,286.67 118,184.21 233,760.22 85,530.00 46,807.78 25,313.30 54,847.78 19,261.11 648,148.33 49,313.89 100,323.75 432,911.11 640,148.00 53,868.89 522,075.00 46,552.13 647,473.00 20,552.78 38,509.44 672,403.75 62,826.67 20,364.00 167,200.00 489,057.50 68,400.00 524,632.22 128,989.85 256,692.64 256,478.21 460,552.31 104,515.20 120,622.62 70,024.94 34,653.19 310,466.67 58,188.78 116,583.16 44,578.33 INVESTMENT RETURN 3,263,781.25 1,027,003.47 2,043,812.50 1,202,906.25 1,162,166.67 2,286,708.33 2,316,477.78 3,652,666.67 762,959.53 2,350,472.22 1,129,950.00 1,119,777.78 1 ,878,348.37 2,067,527.78 1,025,361.11 3,759,958.33 1,147,263.89 3,252,843.75 2,451,111.11 3,672,500.00 1,131,388.89 3,639,375.00 3,061,406.23 3,666,250.00 1,082,402.78 2,164,569.44 3,682,093.75 3,056,916.67 1,017,500.00 4,204,000.00 2,476,937.50 3,068,400.00 2,655,612.22 3,528,488.33 1,261,732.64 1,261,732.64 3,511,510.42 5,140,937.50 3,169,645.83 2,280,372.22 1,127,413.19 2,313,366.67 2,058,541.67 5,120,781.25 1,172,098.06 TERM (Days) 1,115 717 711 1,379 1,128 996 1,588 1,444 1,414 1,163 836 795 565 758 673 1,610 934 794 1,649 1,639 959 1,416 664 1,665 708 707 1,705 693 730 932 1,788 731 1,764 947 1,780 1,780 1,424 750 972 939 907 1,448 856 784 952 INVESTMENT REPORT AS OF JANUARY 31, 2011 INVESTMENT DATE TYPE SECURITY 01/25/2010 FA FAMCA 2.1% NON-CALL 01/20/2010 FA FNMA 1.75% NON-CALL 03/16/2010 FA FNMA 1.75% NON-CALL 01/29/2009 FA FHLB 4.625% NON-CALL 12/24/2009 FA FHLB 4.625% NON-CALL 06/04/2010 FA FHLB 2.4% NON-CALL 06/04/2010 FA FHLB 1.1 % NON-CALL 05/05/2008 FA FHLB 5.00% NON-CALL 08/22/2008 FA FHLB 4.5% NON-CALL 06/04/2010 FA FHLB 2.00% NON-CALL 03/08/2010 FA FHLMC 2.125% NON-CALL 10/01/2009 FA FFCB 1.80% NON-CALL 11/25/2009 FA FFCB 1.80% NON-CALL 05/11/2009 FA FHLMC 3.875% NON-CALL 10/04/2010 FA FFCB .60% CALL 1/4/11 CONTINOUS 12/10/2007 FA FFCB 4.5% NON-CALL 06/04/2010 FA FHLB 1.375% NON-CALL 06/03/2008 FA FNMA 6.41% NON-CALL 12/14/2009 FA FHLB 1.0% CALL 12/14/11 STEP 07/01/2010 FA FHLMC 4.125% NON-CALL 12/21/2010 FA FHLMC .8% CALL 3/21/11 12/28/2010 FA FHLMC .5% CALL 3/28/11 STEP 01/14/2008 FA FHLB 4.25% CALL 10/14/08 10/20/2009 FA FFCB 5.15% NON-CALL 10/07/2010 FA FFCB 3.4% NON-CALL 03/10/2008 FA FHLB 3.50% NON-CALL 08/26/2009 FA FHLMC 2.5% CALL 4/8/11 10/19/2010 FA FHLMC .50% CALL 4/19/11 STEP 10/20/2009 FA FHLMC 4.25% NON-CALL 10/20/2009 FA FHLMC 4.0% NON-CALL 11/10/2008 FA FHLB 5.375% NON-CALL 08/13/2009 FA FHLB 4.25% NON-CALL 05/25/2010 FA FFCB 1.375% NON-CALL 12/28/2009 FA FHLB 1.85% NON-CALL 08/27/2008 FA FNMA 4.375% NON-CALL 02/19/2010 FA FHLMC 1.0% CALL 2/15/11 08/19/2009 FA FFCB 2.7% NON-CALL 11/17/2010 FA FNMA 1.25% CALL 8/19/11 ONETIME 11/12/2008 FA FHLB 4.0% NON-CALL 12/17/2008 FA FHLB 4.375% NON-CALL 09/23/2010 FA FHLB 1.125% CALL 3/23/11 03/24/2010 FA FHLMC 4.125% NON-CALL 02/23/2010 FA FFCB 3.875% NON-CALL 04/15/2010 FA FHLB 2.00% NON-CALL > 10/19/2009 FA FFCB 5.350% NON-CALL 10/25/2010 FA FFCB .84% CALL 10/25/11 CONT PAR VALUE 1,000,000.00 1,000,000.00 3,000,000.00 2,000,000.00 1,000,000.00 1 ,000,000.00 4,000,000.00 1,175,000.00 1,000,000.00 5,000,000.00 3,000,000.00 1,000,000.00 3,000,000.00 1,000,000.00 1,000,000.00 2,000,000.00 3,000,000.00 1 ,807,000.00 1,000,000.00 3,000,000.00 2,000,000.00 2,000,000.00 3,000,000.00 1,000,000.00 1 ,065,000.00 3,000,000.00 2,000,000.00 1 ,000,000.00 500,000.00 500,000.00 1,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1 ,000,000.00 1,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 3,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 INVESTED AMOUNT 1,015,908.69 1,009,004.81 3,034,050.00 2,150,960.00 1,078,810.00 1,027,049.96 4,000,013.10 1,238,814.19 1,022,730.00 5,091,850.00 3,058,800.00 1,003,470.00 3,032,750.01 1,063,510.00 1,000,000.00 2,034,780.00 3,012,394.24 1 ,990,388.82 999,500.00 3,233,040.00 2,000,000.00 2,000,000.00 3,000,000.00 1,102,490.00 1,133,986.44 2,963,940.00 2,008,000.00 1 ,000,000.00 536,967.86 532,794.50 1,065,788.37 2,130,988.03 1,993,760.00 1 ,987,226.45 2,035,600.00 1,000,000.00 1,005,669.88 2,006,760.00 1,007,890.00 2,154,940.00 2,000,000.00 3,222,330.00 1,065,180.00 2,000,000.00 2,235,072.36 2,000,000.00 RETURN RATE 1.460% 1.390% 1.268% 2.391% 1.567% 1.150% 1.100% 3.640% 3.889% 1.180% 1.336% 1 .680% 1.405% 1.928% 0.600% 4.100% 1.200% 3.890% 1.673% 0.939% 0.800% 0.870% 4.250% 1.926% 0.600% 3.765% 2.384% 1.021% 2.100% 2.120% 3.800% 2.450% 1.479% 2.040% 3.970% 2.054% 2.550% 1.125% 3.818% 2.625% 1.125% 1 .930% 2.000% 2.000% 2.264% 0.840% INTEREST 37,466.31 35,717.41 91,950.00 176,901.11 43,367.08 25,683.37 98,253.57 192,237.89 160,020.00 135,927.78 102,877.08 50,180.00 120,099.99 67,701.81 12,000.00 401,970.00 86,720.34 331,405.40 50,500.00 72,897.50 32,000.00 35,000.00 637,500.00 67,316.94 15,503.56 560,476.67 172,833.33 25,625.00 39,296.03 40,094.39 181,163.02 195,081.41 91,031.67 142,273.55 392,177.78 72,388.89 102,330.12 62,128.89 184,776.67 259,712.78 67,500.00 211,826.25 75,181.11 140,000.00 193,522.08 50,400.00 INVESTMENT RETURN 1,053,375.00 1,044,722.22 3,126,000.00 2,327,861.11 1,122,177.08 1,052,733.33 4,098,266.67 1,431,052.08 1,182,750.00 5,227,777.78 3,161,677.08 1,053,650.00 3,152,850.00 1,131,211.81 1,012,000.00 2,436,750.00 3,099,114.58 2,321,794.22 1,050,000.00 3,305,937.50 2,032,000.00 2,035,000.00 3,637,500.00 1,169,806.94 1,149,490.00 3,524,416.67 2,180,833.33 1,025,625.00 576,263.89 572,888.89 1,246,951.39 2,326,069.44 2,084,791.67 2,129,500.00 2,427,777.78 1,072,388.89 1,108,000.00 2,068,888.89 1,192,666.67 2,414,652.78 2,067,500.00 3,434,156.25 1,140,361.11 2,140,000.00 2,428,594.44 2,050,400.00 TERM (Days) 928 933 878 1,294 965 803 816 1,593 1,484 833 928 1,089 1,034 1,238 731 1,773 878 1,624 1,096 904 731 731 1,827 1,206 854 1,824 1,321 913 1,310 1,331 1,677 1,401 1,127 1,278 1,785 1,273 1,461 1,006 1,759 1,731 1,096 1,283 1,322 1,279 1,463 1,096 INVESTMENT REPORT AS OF JANUARY 31, 2011 INVESTMENT DATE TYPE SECURITY 10/28/2010 FA FFCB .875% CALL 01/28/11 CONT 01/20/2009 FA FHLB 3.125% NON-CALL 12/20/2010 FA FFCB 1.375% CALL CONT 12/23/2010 FA FNMA1.45% CALL 12/23/2010 FA FNMA1.30% CALL 12/30/2010 FA FHLMC 1.50% DUE 12/30/13 CALL 01/28/2011 FA FHLMC .075% STEP CALL 4/28/11 QRTLY 02/12/2010 FA FFCB 3.00% NON-CALL 09/17/2010 FA FNMA 1.3% CALL 3/17/11 10/07/2010 FA FHLMC .75% CALL 3/24/11 STEP 11/22/2010 FA FHLB 1.375% CALL 1/4/11 CONT 11 /24/2010 FA FNMA 1.0% CALL 10/25/11 02/12/2010 FA FNMA2.125% CALL 10/28/11 03/24/2010 FA FHLB 2.5% NON-CALL 12/08/2010 FA FHLMC 1.50% CALL 10/20/2009 FA FFCB 4.375% NON-CALL 12/30/2010 FA FNMA 1.75% CALL QRTLY 06/04/2010 FA FNMA 3.00% CALL 7/28/11 06/08/2010 FA FNMA 3.00% CALL 7/28/11 10/15/2010 FA FHLB 1.45% CALL 7/29/11 03/24/2010 FA FHLB 5.5% NON-CALL 09/08/2010 FA FNMA 1.50% CALL 3/8/11 03/24/2010 FA FHLB 5.25% NON-CALL 03/24/2010 FA FFCB 3.0% NON-CALL 09/24/2009 FA FNMA 2.0% CALL 9/23/11 STEP 09/30/2010 FA FNMA 1.6% CALL 3/30/11 10/06/2010 FA FHLB 1.4% CALL 10/06/11 CONT 10/21/2010 FA FHLB 1.35% CALL 1/21/11 QRTLY 04/22/2010 FA FHLB 2.0% CALL 10/28/11 STEP 10/29/2010 FA FHLMC 1.125% CALL 4/29/11 QRTLY STEP 12/01/2010 FA FFCB 1.60% CALL CONT 03/12/2010 FA FHLMC 1.0% STEP CALL 3/23/11 06/04/2010 FA FNMA 2.00% CALL 10/29/12 STEP 12/03/2010 FA FHLB 1.875% CALL CONT 12/03/2010 FA FFCB 1.85% CALL CONT 12/01/2010 FA FHLMC 2.5% ONE CALL 6/22/11 01/25/2011 FA FFCB 1.50% CALL 2/2/11 CONT 08/18/2010 FA FNMA 1.50% CALL 8/18/11 08/25/2010 FA FHLB 1.82% CALL 8/24/11 QRTLY 09/10/2010 FA FNMA 1.85% CALL 9/9/11 09/14/2010 FA FHLB 1.74% CALL 9/14/12 09/14/2010 FA FFCB 1.875% CALL 3/14/11 09/21/2010 FA FNMA 2.0% CALL 3/21/11 09/24/2010 FA FNMA 1.5% CALL 3/24/11 STEP 09/24/2010 FA FNMA 2.0% CALL 3/28/11 09/30/2010 FA FNMA 2.0% CALL 3/30/11 PAR VALUE 2,000,000.00 2,000,000.00 1,150,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1 ,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,000,000.00 3,000,000.00 2,000,000.00 3,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 3,000,000.00 2,000,000.00 2,000,000.00 2,000,000:00 3,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 4,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 INVESTED AMOUNT 2,000,000.00 2,047,941.08 1,150,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,028,536.49 2,000,000.00 2,000,000.00 1 ,998,500.00 1,998,000.00 1,014,759.55 3,016,423.52 1,999,980.00 3,234,480.00 2,000,000.00 2,037,406.00 2,040,000.00 2,009,400.00 3,395,255.41 2,000,000.00 2,231,960.00 2,047,400.80 3,000,000.00 1,999,000.00 2,000,000.00 2,000,000.00 2,015,640.00 1,000,000.00 2,000,000.00 4,000,000.00 2,018,771.34 2,000,000.00 1,998,000.00 2,021,700.00 1,952,000.00 1,999,500.00 2,006,000.00 1,999,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 RETURN RATE 0.875% 2.600% 1.375% 1 .450% 1 .300% 1 .500% 2.003% 2.250% 1 .300% 1 .536% 1 .398% 1.030% 3.167% 2.363% 1.500% 2.595% 1.750% 2.522% 2.488% 1 .322% 2.323% 1 .500% 2.490% 2.440% 3.163% 1.613% 1 .400% 1 .350% 2.950% 1 .553% 1 .600% 3.400% 2.780% 1.875% 1.873% 2.250% 2.063% 2.375% 1.757% 1.861% 1.740% 1.875% 2.000% 2.030% 2.000% 2.000% INTEREST 52,500.00 258,135.31 47,437.50 87,000.00 78,000.00 90,000.00 121,250.00 91,463.51 91,000.00 106,958.33 94,083.33 70,388.89 121,601.56 300,034.82 106,270.00 381,665.83 122,500.00 211,594.00 208,333.33 100,477.78 328,452.92 120,000.00 237,040.00 222,265.87 479,833.33 161,000.00 112,000.00 108,000.00 270,026.67 62,500.00 128,000.00 680,000.00 277,339.77 168,750.00 168,500.00 206,216.67 182,666.67 240,500.00 175,898.89 185,897.22 174,000.00 187,500.00 200,000.00 205,000.00 200,444.44 200,000.00 INVESTMENT RETURN 2,052,500.00 2,306,076.39 1,197,437.50 2,087,000.00 2,078,000.00 2,090,000.00 2,121,250.00 1,120,000.00 2,091,000.00 2,106,958.33 2,092,583.33 2,068,388.89 1,136,361.11 3,316,458.34 2,106,250.00 3,616,145.83 2,122,500.00 2,249,000.00 2,248,333.33 2,109,877.78 3,723,708.33 2,120,000.00 2,469,000.00 2,269,666.67 3,479,833.33 2,160,000.00 2,112,000.00 2,108,000.00 2,285,666.67 1,062,500.00 2,128,000.00 4,680,000.00 2,296,111.11 2,168,750.00 2,166,500.00 2,227,916.67 2,134,666.67 2,240,000.00 2,181,898.89 2,184,897.22 2,174,000.00 2,187,500.00 2,200,000.00 2,205,000.00 2,200,444.44 2,200,000.00 TERM (Days) 1,096 1,788 1,096 1,096 1,096 1,096 1,096 1,461 1,277 1,264 1,229 1,248 1,536 1,542 1,293 1,714 1,278 1,515 1,511 1,383 1,603 1,461 1,633 1,643 1,825 1,461 1,461 1,461 1,650 1,461 1,461 1,837 1,790 1,643 1,643 1,664 1,638 1,826 1,825 1,825 1,826 1,826 1,826 1,826 1,830 1,826 INVESTMENT REPORT AS OF JANUARY 31,2011 INVESTMENT DATE 09/30/2010 11/19/2010 10/15/2010 10/15/2010 10/27/2010 10/28/2010 10/29/2010 11/05/2010 11/10/2010 11/16/2010 12/01/2010 11/23/2010 12/22/2010 12/28/2010 12/30/2010 12/30/2010 01/25/2011 01/26/2011 01/28/2011 03/12/2009 02/11/2009 02/18/2009 02/25/2009 03/02/2009 03/02/2009 03/09/2010 11/24/2010 01/18/2011 10/19/2009 12/30/2009 10/28/2009 09/24/2009 10/28/2009 11/24/2009 01/20/2010 11/24/2009 02/23/2010 03/24/2010 TYPE FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FA FN FN FN FN FN FN FN FN FA TR TR TR TR TR TR TR TR TR TR SECURITY FFCB 1 .99% CALL 9/30/1 1 FHLB 2.05% CALL 1/7/11 CONT FNMA 1 .50% CALL 4/1 5/1 1 QRTLY STEP FNMA 1 .50% CALL 4/15/1 1 QRTLY STEP FNMA 1.55% CALL 10/27/11 FNMA 1 .50% CALL 4/28/1 1 FNMA 1 .25% CALL 4/29/1 1 QRTLY STEP FNMA 1 .25% CALL 5/5/1 1 QRTLY STEP FNMA 1 .375% CALL 5/10/1 1 QRTLY FNMA 1 .7% CALL 5/16/1 1 QRTLY FHLB 1.0% CALL QRTLY STEP FFCB 2.0% CALL 5/23/12 CONT FHLMC 2.25% CALL QRTLY FHLMC 2.05% ONE CALL 12/28/1 1 FNMA 2.25% CALL QRTLY STEP FAMCA 2.57% CALL SEMI-ANNUAL FNMA 2.60% CALL 7/25/1 1 QRTLY FHLB 2.59% CALL 7/26/11 CONT FHLMC 2.150% CALL 7/28/1 1 CONT SUB-TOTAL FICO STRIP 0.00% NON-CALL FICO STRIP 0.00% NON-CALL FICO STRIP 0.00% NON-CALL FICO STRIP 0.00% NON-CALL FICO 0.0% NON-CALL FICO 0.0% NON-CALL FICO 0.0% NON-CALL FNMAO% NON-CALL FICO 0.00% NON-CALL SUB-TOTAL Federal Investments Total US TREASURY 0.875% US TREASURY 0.875% US TREASURY 0.875% US TREASURY 1.1250% US TREASURY 1.1 250% US TREASURY 1 .1250% US TREASURY 1 .00% US TREASURY 1.00% US TREASURY 1.00% US TREASURY 1 .00% PAR VALUE 2,000,000.00 2,000,000.00 2,000,000.00 2,600,000.00 2,000,000.00 2,000,000.00 2,155,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 312,355,000.00 1,000,000.00 2,000,000.00 1 ,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,076,000.00 15,076,000.00 327,431,000.00 3,000,000.00 4,000,000.00 3,000,000.00 4,000,000.00 3,000,000.00 4,000,000.00 1 ,000,000.00 5,000,000.00 3,000,000.00 8,000,000.00 INVESTED AMOUNT 1,999,000.00 1,999,600.00 2,000,000.00 2,600,000.00 1 ,998,000.00 1,999,000.00 2,155,000.00 2,000,000.00 1,998,740.00 1,997,000.00 1,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 1,999,000.00 2,000,000.00 2,000,000.00 2,000,000.00 318,148,797.81 956,370.00 1,889,240.00 916,713.56 1,826,280.00 1,818,680.00 1,793,820.00 1,882,080.00 1,922,260.00 1,027,655.32 14,033,098.88 332,181,896.69 3,011,718.75 4,010,625.00 3,008,320.31 4,018,593.75 3,018,398.44 4,037,343.75 1,005,625.00 5,031,445.31 3,016,170.00 8,025,312.50 RETURN RATE 2.001% 2.054% 2.034% 2.034% 1 .579% 1.510% 1.932% 1.789% 1.728% 1.731% 2.746% 2.000% 2.250% 2.050% 2.583% 2.581% 2.600% 2.590% 2.605% 2.219% 2.200% 2.300% 2.710% 2.850% 3.000% 3.050% 1.850% 1.100% 1.370% 2.045% 0.587% 0.661% 0.699% 0.859% 0.755% 0.538% 0.630% 0.641% 0.660% 0.801% INTEREST 200,000.00 200,616.67 205,000.00 266,500.00 157,000.00 151,000.00 210,112.50 180,000.00 173,760.00 173,000.00 139,666.67 200,000.00 225,000.00 205,000.00 260,000.00 258,000.00 260,000.00 259,000.00 262,500.00 28,320,173.04 43,630.00 110,760.00 83,286.44 173,720.00 181,320.00 206,180.00 117,920.00 155,480.00 96,689.36 1,168,985.80 29,489,158.84 24,103.07 33,125.00 33,421.49 60,889.95 38,096.13 34,680.71 9,673.91 56,814.36 31,797.03 102,864.30 INVESTMENT RETURN 2,199,000.00 2,200,216.67 2,205,000.00 2,866,500.00 2,155,000.00 2,150,000.00 2,365,112.50 2,180,000.00 2,172,500.00 2,170,000.00 1,139,666.67 2,200,000.00 2,225,000.00 2,205,000.00 2,260,000.00 2,257,000.00 2,260,000.00 2,259,000.00 2,262,500.00 346,468,970.85 1,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 2,077,740.00 1,124,344.68 15,202,084.68 361,671,055.53 3,035,821.82 4,043,750.00 3,041 ,741 .80 4,079,483.70 3,056,494.57 4,072,024.46 1,015,298.91 5,088,259.67 3,047,967.03 8,128,176.80 TERM (Days) 1,826 1,783 1,826 1,826 1,826 1,826 1,826 1,826 1 ,826 1 ,826 1,814 1,826 1,826 1,826 1,826 1,826 1,826 1,826 1,826 1,352 744 908 1,178 1,171 1,166 1,314 1,206 1,319 1,228 1,137 2,489 497 456 580 644 610 583 557 645 584 586 INVESTMENT REPORT AS OF JANUARY 31, 2011 INVESTMENT DATE 11/10/2008 11/12/2008 02/17/2006 03/30/2006 06/20/2006 04/19/2006 06/12/2006 04/16/2007 04/21/2009 05/21/2007 04/02/2009 05/30/2008 05/30/2008 05/12/2009 05/29/2007 08/14/2009 04/28/2009 08/17/2009 03/20/2007 10/11/2007 11/15/2007 05/12/2009 05/05/2009 04/21/2009 04/23/2009 04/30/2008 08/31/2007 05/30/2008 02/08/2010 07/17/2008 08/31/2007 10/31/2007 11/23/2007 01/30/2008 12/28/2010 04/24/2008 05/07/2008 05/12/2009 05/30/2008 05/09/2008 12/23/2008 05/12/2009 , 05/29/2009 TYPE TR TR CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN CN SECURITY US TREASURY 3.125% US TREASURY 4.0% SUB-TOTAL CITIGROUP 5.125% NON-CALL CITIGROUP 5.125% NON-CALL CITIGROUP 5.125% NON-CALL HOME DEPOT 5.20% NON-CALL GENERAL ELECTRIC 5.50% NON-CALL GENERAL ELECTRIC 5.50% NON-CALL TOYOTA FIN 5.375% NON-CALL TOYOTA 5.450% NON-CALL ROYAL BANK OF CANADA 5.65% NON-CALL WELLS FARGO CO 5.30% NON-CALL GENWORTH GLOBAL 5.375% NON-CALL MET LIFE GLOBAL FUNDING 5.125% NON-CALL GENERAL ELECTRIC 5.50% CALL 11/15/08 SUNTRUST BANK 3.0% NON-CALL CITIGROUP 2.875% NON-CALL TOYOTA 5.25% NON-CALL GENERAL ELECTRIC 5.875% NON-CALL GENERAL ELETRIC 5.875% NON-CALL GENERAL ELETRIC 5.875% NON-CALL CHEVRON 3.450% NON-CALL BARCLAYS BANK 2.7% NON-CALL BERKSHIRHATWY4.00% NON-CALL BERKSHIRHATWY 4.00% NON-CALL PRINCIPAL LIFE INC 4.5% NON-CALL GENERAL ELECTRIC 6.00% NON-CALL GENERAL ELECTRIC 6.00% NON-CALL GENERAL ELECTRIC 6.00% NON-CALL PROTECTIVE LIFE 5.050% NON-CALL JOHNSON & JOHNSON 5.15% NON-CALL GENERAL ELECTRIC 5.250% NON-CALL GENERAL ELECTRIC 5.250% NON-CALL WELLS FARGO 5.250% NON-CALL ROYAL BANK OF CANADA 2.25% NON-CALL MET LIFE GLOBAL FUNDING 5.125% NON-CALL MET LIFE GLOBAL FUNDING 5.125% NON-CALL WAL-MART 4.250% NON-CALL ALLSTATE LIFE 5.375% NON-CALL NEW YORK LIFE 4.650% NON-CALL BERKSHIRHATWY 4.60% NON-CALL 3 M 4.375% NON-CALL WAL-MART 3.20% NON-CALL PAR VALUE 1 ,000,000.00 1 ,000,000.00 40,000,000.00 5,000,000.00 2,000,000.00 2,000,000.00 3,000,000.00 3,000,000.00 3,000,000.00 2,000,000.00 4,000,000.00 1,000,000.00 1,000,000.00 2,000,000.00 1,000,000.00 1,850,000.00 2,000,000.00 2,000,000.00 2,250,000.00 5,956,000.00 3,000,000.00 2,000,000.00 3,000,000.00 1,575,000.00 1,000,000.00 2,000,000.00 1,000,000.00 1 ,000,000.00 1 ,000,000.00 2,000,000.00 3,000,000.00 1,000,000.00 2,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 1 ,000,000.00 2,000,000.00 1,000,000.00 2,000,000.00 1,000,000.00 1 ,000,000.00 2,000,000.00 1 ,000,000.00 INVESTED AMOUNT 1,031,328.00 1,030,781.25 40,245,662.06 5,000,000.00 1,991,793.10 1 ,969,446.60 2,974,590.00 3,006,145.34 3,048,646.38 2,078,000.00 4,054,280.00 1,066,260.00 1,032,919.79 2,016,628.76 1,020,480.00 1,850,000.00 2,066,260.00 2,060,840.00 2,427,570.00 6,187,688.40 3,089,347.40 2,089,414.35 3,103,177.11 1,590,861.34 1,022,563.95 2,039,340.00 1 ,000,000.00 1 ,033,437.31 1 ,052,958.51 2,174,860.00 3,000,000.00 1,017,457.28 2,036,663.70 2,065,283.50 1,042,814.41 2,047,930.00 1,003,232.48 2,019,402.04 1 ,047,829.91 2,023,559.81 1,006,649.66 1,023,835.68 2,121,417.76 1,003,190.00 RETURN RATE 2.430% 2.452% 0.789% 5.125% 5.220% 5.500% 5.400% 5.450% 5.050% 3.372% 5.070% 2.659% 4.200% 5.100% 4.250% 5.500% 1.500% 1.680% 1.800% 4.970% 5.100% 4.700% 2.180% 2.330% 3.200% 3.300% 4.500% 5.200% 4.550% 2.167% 5.050% 4.750% 4.830% 4.500% 4.240% 1.150% 5.050% 4.900% 2.950% 5.100% 4.500% 4.000% 2.850% 3.130% INTEREST 118,792.86 121,777.13 666,035.94 1,279,114.58 507,609.68 507,178.40 784,610.00 798,687.99 616,853.62 142,375.00 815,903.33 63,690.00 138,741.32 344,093.46 107,217.92 453,918.06 69,073.33 89,458.61 99,695.62 1,483,867.09 676,360.93 409,960.65 187,485.39 104,626.16 96,769.38 198,882.22 178,375.00 253,896.02 189,541.49 107,473.33 605,158.33 237,753.83 484,836.30 449,799.83 205,539.76 51,695.00 251 ,024.46 485,410.46 118,982.59 504,981.86 225,850.34 177,542.10 251,186.41 155,565.56 INVESTMENT RETURN 1,150,120.86 1,152,558.38 40,911,698.00 6,279,114.58 2,499,402.78 2,476,625.00 3,759,200.00 3,804,833.33 3,665,500.00 2,220,375.00 4,870,183.33 1,129,950.00 1,171,661.11 2,360,722.22 1,127,697.92 2,303,918.06 2,135,333.33 2,150,298.61 2,527,265.62 7,671,555.49 3,765,708.33 2,499,375.00 3,290,662.50 1 ,695,487.50 1,119,333.33 2,238,222.22 1,178,375.00 1,287,333.33 1,242,500.00 2,282,333.33 3,605,158.33 1,255,211.11 2,521,500.00 2,515,083.33 1,248,354.17 2,099,625.00 1 ,254,256.94 2,504,812.50 1,166,812.50 2,528,541.67 1,232,500.00 1,201,377.78 2,372,604.17 1,158,755.56 TERM tDavs) 1,755 1,783 773 ,823 ,782 ,700 ,777 ,781 1,473 748 1,458 839 1,183 1,203 911 1,631 824 955 857 1,793 1,588 1,553 1,026 1,035 1,090 1,088 1,447 1,750 1,477 858 1,459 1,811 1,815 1,792 1,728 808 1,812 1,799 1,434 1,796 1,826 1,604 1,556 1,812 INVESTMENT REPORT AS OF JANUARY 31, 2011 INVESTMENT DATE 05/20/2010 09/30/2010 12/15/2010 12/15/2010 TYPE CN CN CN CN O O O O O O O O SECURITY MICROSOFT 2.95% NON-CALL ROYAL BANK OF CANADA 1.75% CALL STEP BARCLAYS BANK 3.10% NON-CALL ROYAL BANK OF CANADA 2.625% NON-CALL WELLS FARGO BANK CORPORATE CASH MANAGEMENT ACCOUNT LIBRARY ACCOUNT UNION TRUST L A I F WATER DISTRICT L A I F PUBLIC IMPROVEMENT CORPORATION L A I F PUBLIC FINANCING CORPORATION L A I F CITY OF CARLSBAD SUB-TOTAL SUB-TOTAL PAR VALUE 2,000,000.00 2,000,000.00 2,000,000.00 2,000,000.00 90,631,000.00 362,448.00 1 ,223,978.00 1,035.61 817.70 26,295,042.99 25,829,984.17 26,514,604.20 36,779,098.64 117,007,009.31 INVESTED AMOUNT 2,072,820.00 2,000,000.00 2,000,000.00 2,038,220.00 92,617,814.57 362,448.00 1 ,223,978.00 1,035.61 817.70 26,295,042.99 25,829,984.17 26,514,604.20 36,779,098.64 117,007,009.31 RETURN RATE 2.005% 2.255% 3.100% 2.220% 4.025% 0.050% 0.050% 0.000% 0.040% 0.530% 0.530% 0.530% 0.530% 0.523% INTEREST 164,982.78 227,000.00 310,000.00 225,009.16 15,837,777.35 0.50 1.68 - 0.00 387.12 380.27 390.35 541 .47 1,701.39 INVESTMENT RETURN 2,237,802.78 2,227,000.00 2,310,000.00 2,263,229.16 108,455,591.92 362,448.50 1,223,979.68 1,035.61 817.70 26,295,430.11 25,830,364.44 26,514,994.55 36,779,640.11 117,008,710.70 TERM (Days) 1,473 1,826 1,826 1,826 1,459 1 1 1 1 1 1 1 1 GRAND TOTAL 575,069,009.31 582,052,382.63 2.063% 45,994,673.52 628,047,056.15 EXHIBIT 8 CITY OF CARLSBAD Fund Equity in Pooled Investments AS OF JANUARY 31, 2011 Cash Balance by Fund: General 69,122,816 Special Revenue 49,754,683 Debt Service Capital Projects: General Capital Construction 64,769,931 Traffic Impact Fees 17,546,644 Public Facilities Fees 44,712,327 Park Development 2,451,039 Transnet Taxes 6,899,551 Drainage Fees 5,722,310 Special Districts 73,627,341 Infrastructure Replacement 61,108,615 Redevelopment 6,132,127 Other Capital Construction 3,869,542 Total 286,839,427 Enterprise: Carlsbad Municipal Water District 72,779,254 Sewer Fund 47,440,786 Solid Waste 7,147,193 Storm Water 2,174,826 Golf Course 213,678 Total 129,755,737 Internal Service 29,602,875 Agency Funds 16,215,602 Misc. Special Funds 0 Total General Ledger Balance ** 581,291,141 Reconciling Adjustments (1) (2,779,542) Total Treasurer's Investment Portfolio at Amortized Cost 578,511,599 (1) 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 2/04/11 EXHIBIT 9 CITY OF CARLSBAD INVESTMENT PORTFOLIO As of January 31, 2010 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 BARCLAYS BANK BERKSHIRE HATHAWAY CHEVRON GENERAL ELECTRIC JOHNSON & JOHNSON MET LIFE GLOBAL MICROSOFT NEW YORK LIFE ROYAL BANK OF CANADA SUNTRUST BANK 3M TOYOTA WAL-MART AAA AAA AA2 AA+ AA1 AA AA2 AA+ AAA AAA AA3 AA- AAA AAA AAA AAA AA1 AA- AAA AAA AA2 AA- AA2 AA AA2 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 and S&P) NONE Investments with Subsequent Changes in Credit Rating * Carrying Moodv's S&P Purchased Value ALL STATE LIFE CITIGROUP GENWORTH GLOBAL HOME DEPOT PRINCIPAL LIFE PROTECTIVE LIFE WELLS FARGO A1 A+ 05/30/2008 2,010,768 A3 A 06/20/2006 11,019,616 A2 A 05/07/2008 2,003,083 BAA1 BBB+ 06/12/2006 2,999,565 AA3 A 04/30/2008 1,000,000 A2 AA- 07/17/2008 3,000,000 A1 AA- 01/30/2008 2,021,425 Market Value 2,175,360 11,056,650 2,054,680 3,011,040 1,013,760 3,105,270 2,097,160 * 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. EXHIBIT 10 CITY OF CARLSBAD INVESTMENT PORTFOLIO AS OF JANUARY 31,2011 WEIGHTINGS FOR CORPORATE AND FEDERAL AGENCY ISSUERS PERCENTAGE WEIGHTINGS BY CORPORATE NOTE ISSUER ALL STATE LIFE BARCLAYS BANK BERKSHIRE HATHAWAY CHEVRON CITIGROUP GENERAL ELECTRIC CAP GENWORTH GLOBAL HOME DEPOT JOHNSON & JOHNSON MET LIFE GLOBAL FUND MICROSOFT NEW YORK LIFE PRINCIPAL LIFE PROTECTIVE LIFE ROYAL BANK OF CANADA SUNTRUST BANK 3M TOYOTA WAL-MART WELLS FARGO PERCENTAGE WEIGHTINGS BY FEDERAL AGENCY ISSUER FAMCA FICO FEDERAL FARM CREDIT BANK FEDERAL HOME LOAN BANK FEDERAL HOME LOAN MORTGAGE CORP FEDERAL NATIONAL MORTGAGE ASSOC TVA U.S.TREASURY Total Portfolio * No more than 5% may be invested wtth a single corporate issuer. "There are no percentage limits on federal agency issuers. Investment Cost 2,023,559.81 3,590,861.34 4,085,739.63 3,103,177.11 11,022,079.70 27,634,444.89 2,016,628.76 2,974,590.00 1,017,457.28 4,043,114.52 2,072,820.00 1,006,649.66 1,000,000.00 3,000,000.00 7,152,410.00 2,066,260.00 2,121,417.76 8,559,850.00 2,051,019.91 2,075,734.20 ENCY ISSUER Investment Cost 9,883,746.01 14,033,098.88 63,512,456.57 114,516,630.98 51,744,415.52 72,961,070.24 5,530,478.48 40,245,662.06 Percent of Portfolio* 0.35% 0.62% 0.70% 0.53% 1.89% 4.75% 0.35% 0.51% 0.17% 0.69% 0.36% 0.17% 0.17% 0.52% 1.23% 0.35% 0.36% 1.47% 0.35% 0.36% Percent of Portfolio** 1.70% 2.41% 10.91% 19.67% 8.89% 12.54% 0.95% 6.91% $582,052,382.63 /7