Item 1.5 - City's Investment Report as of June 30, 2017or �W
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DATE
TO:
City of Poway
COUNCIL AGENDA REPORT
August 15, 2017
APPROVED
❑
APPROVED AS AMENDED
❑
(SEE MINUTES)
24,796,720
DENIED
❑
REMOVED
❑
CONTINUED
22,070,380
Resolution No.
2,005,288
Honorable Mayor and Members of the City Council
FROM: Peter Moote, Acting Finance Directo�0dk/
CONTACT: Andrew White, Finance Manager
(858) 668-4426 or awhite@poway.org
SUBJECT: City's Investment Report as of June 30, 2017
Summary:
Quarterly reports of investments are required to be presented to Council. For your
information, attached is an investment portfolio report as of June 30, 2017.
Recommended Action:
It is recommended that the City Council accept and file the attached report.
Discussion:
Pursuant to Government Code Sec. 53646(b) and the City's Investment Policy, the Finance
Director (i.e., Treasurer) renders a quarterly investment report to the City Council concerning
the investment portfolio's earnings and performance results. In accordance with the
Investment Policy, the quarterly report includes information such as the investment type,
issuer, date of maturity, par value, amount invested, current market value, and the source of
the market value information.
The City is in compliance with its adopted investment policy, and the City's investment
program provides sufficient liquidity to meet its cash flow requirements for the next six
months. The fair value of the City's investment portfolio as of June 30, 2017, was
$117,057,676. It consisted of the following:
Investment Portfolio
Total
Deposits at CaITRUST
21,488,984
Deposits at the Local Agency Investment Fund (LAIF)
24,796,720
U. S. Treasury Notes
12,017,554
U. S. Instrumentalities
34,678,750
Corporate Notes
22,070,380
Municipal Bonds
2,005,288
Fair Value of Investment Portfolio as of June 30, 2017
117,057,676
1 of 33 August 15, 2017, Item #1.5
City's Investment Report
August 15, 2017
Page 2
The attached portfolio report (attachment B) and investment report (attachment C) were
prepared by the City's investment manager, Insight Investment, with input from the City's
Finance Department. The portfolio report includes all investments while the investment
report includes only those investments managed by Insight Investment.
The funds on deposit at LAIF and CalTRUST earn interest at variable rates. The interest
rate for the month ending June 2017 is estimated at .98% for LAIF, 1.14% for the CalTRUST
short-term fund, and 1.28% for the CalTRUST medium-term fund. The values of fixed income
securities, as legal investment tools authorized under California government codes, are
closely tied with interest rates. As interest rates go up, the market values of the securities
go down. The difference between amortized cost and fair value is considered an unrealized
gain or loss. A realized loss is when the principal of the security is redeemed before its
maturity date at a fair value lower than its amortized cost value. The amortized cost value of
the externally managed investment portfolio is $70,943,420; the fair value is $70,771,972 for
an unrealized loss of ($171,448) or .24% of the total amortized cost value. The source of the
fair value information for the U.S. Treasury Notes, the U.S. Instrumentalities, Corporate
Notes, and Municipal Bonds is Interactive Data Corporation.
Also included with this report are recaps of the City's cash and investments held by fiscal
agents, non -managed investments, and cash on hand. The total book value of the cash and
investments held by our fiscal agent, U.S. Bank, at June 30, 2017, was $630,319. The source
of the market value information for these investments was U.S. Bank. The total book value
of the non -managed investments was $133,795 at June 30, 2017. The City's cash on hand
at June 30, 2017, totaled $726,514.
The June 30, 2017, balance of the City's Library Trust Fund is $258,483. Through the Fiscal
Year 2016-17 period ending June 30, 2017, no transfer of interest earnings has been made
to the General Fund. At the close of Fiscal Year 2016-17, 90% of the Library Trust Fund's
interest earnings will be transferred to the General Fund.
Environmental Review:
This item is not subject to CEQA review.
Fiscal Impact:
The externally managed investment portfolio earned $78,824 interest during June 2017 as well
as $81,312 during May 2017 and $74,944 during April 2017.
2 of 33 August 15, 2017, Item #1.5
City's Investment Report
August 15, 2017
Page 3
Public Notification:
ROM
Attachments:
A. Investment Statistics
B. Investment Portfolio Report prepared by Insight Investment
C. Investment Report prepared by Insight Investment
D. City of Poway Investments and Cash with Fiscal Agent; General, Payroll, and Petty
Cash Report at June 30, 2017
Reviewed/Approved By: Reviewed By:
Wendy klaserman Morgan Foley
Assistant City Manager City Attorney
App oved By:
Tina M. White
City Manager
3 of 33 August 15, 2017, Item #1.5
City of Poway
Investment Statistics
Weighted Average Yield
June
March
June
Effective Average Duration In days
2016
2017
2017
Separately Managed Investment Pools
1
1
1
Fair Value:
CaITRUST Short -Term Deposits
10,595,665
10,651,255
10,679,351
CalTRUST Medium -Term Deposits
10,785,912
10,775,701
10,609,633
Deposits at the Local Agency Investment Fund (LAIF)
27,857,830
19,858,786
24,796,720
Total Fair Value
49,239,407
41,285,742
46,285,704
Weighted Average Yield
0.70%
0.98%
1.09%
Effective Average Duration In days
1
1
1
Weighted Average Maturity in days
1
1
1
Externally Managed Investment Pools
Fair Value:
U. S. Treasury Notes
9,123,181
9,019,159
12,017,554
U. S. Instrumentalities
28,095,213
34,689,474
34,678,750
Corporate Bonds
25,159,705
23,010,309
22,070,380
Municipal Bonds
2,035,337
2,009,991
2,005,288
Total Fair Value
64,413,436
68,728,933
70,771,972
Amortized Cost Value:
U. S. Treasury Notes
9,036,844
9,020,171
12,034,467
U. S. Instrumentalities
27,975,732
34,818,230
34,820,052
Corporate Bonds
25,045,128
23,033,247
22,088,901
Municipal Bonds
2,000,000
2,000,000
2,000,000
Total Amortized Cost Value
64,057,704
68,871,648
70,943,420
Unrealized Gain (Loss)
355,732
(142,715)
(171,448)
Accrued Interest Earned
75,666
83,915
78,824
Weighted Average Yield
1.18%
1.25%
1.29%
Effective Average Duration in years
1.39
1.25
1.31
Weighted Average Maturity in years
1.53
1.37
1.47
Total Fair Value of Portfolio Assets
113,652,843
110,014,675
117,057,676
Weighted Average Yield
0.98%
1.15%
1.21%
Effective Average Duration in years
1.22
0.78
0.79
Weighted Average Maturity in years
1.30
0.86
0.89
Glossary of Yield Terminology
Coupon: A bond's coupon is the periodic interest payment made to the holder of the fixed income security
during the life of the bond. Coupon payments can be made monthly, quarterly, or annually.
Book Yield: The Book Yield is that rate of return that will make the present value of the future cash flows
of a fixed income security equal to the price paid for the security. This assumes that the security will be
held to its maturity.
Current Yield: Annual rate of return on an investment expressed as a percentage. Current Yield of a
fixed income security is the annualized earnings (coupon) divided by the bond's market value as of
the valuation date.
One Year Total Yield: The One Year Total Yield or One Year Return represents the portfolio's percentage
change over a year's time, factoring in interest payments, changes in market value and reinvestment
of distributions.
Weighted Average Yield: The total yield on a bond portfolio divided by the number of bonds contained in it, weighted for
the size of each bond so that the yield of large holdings does not drown out the calculation of yields on small holdings.
Yield to Maturity: The Yield to Maturity (YTM) or Market Yield to Maturity of a fixed income security is that
rate of interest that will make the present value of the future cash flows equal to the market value as of
the valuation date, assuming the bond is held to maturity.
4 of 33 Attachment A August 15, 2017, Item #1.5
City of Poway
Monthly Investment Portfolio Report
June 30, 2017
T
%
LAIF
$
24,796,720
54% 0.98%
CalTrust - Short
$
10,679,351
23% 1.14% CalTrust-
CalTrust- Medium
$
10,809,633
23% 1.28% Medium, 23% LAIF, 54%
Total Internally Managed
$
46,285,704
40%
Weighted Average Yield 1.09%
Days CalTrust - Short,
Effective Average Duration- Internal 1 23%
Weighted Average Maturity- Internal 1
Externally Managed Assets % Return
Treasury Securities $ 12,017,554 17% 1.18% Municipal, 3%
Treasury
Instrumentality Securities $ 34,678,750 49% 1.13% Corporate Securities, 17%
Corporate Notes $ 22,070,380 31% 1.55% Notes, 31%
Municipal $ 2,005,288 3% 1.95%
Total Externally Managed $ 70,771,972 60% is
Weighted Average Yield 1.29%
Years
Effective Average Duration - External 1.31
Weighted Average Final Maturity- External 1.47
Instrumentality
Securities, 49%
Total Portfolio Assets
%
Return
LAIF
$
24,796,720
21%
0.98% Municipal LAIF
CalTrust - Short
$
10,679,351
9%
1.14% Corporate Notes 2% 21%
CalTrust- Medium
$
10,809,633
9%
1.28% 19%
CalTrust -Short
Treasury Securities
$
12,017,554
10%
1.18% 9%
Instrumentality Securities
$
34,678,750
30%
1.13%
Corporate Notes
$
22,070,380
19%
1.55%
Municipal
$
2,005,288
2%
1.95%
Total Portfolio Assets
$
117,057,676
100%
Weighted Average Yield
Effective Average Duration - Total
Weighted Average Maturity - Total
Beginning Balance
Ending Balance
Assets values shown at Market
1.21% Instrumental
Securities
Years 30%
0.79
0.89
$ 114,296,086
$ 117,057,676
Treasury
Securities
10%
Medium
9%
5 of 33 Attachment B August 16, 2017, Item #1.5
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