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INVESTMENT ACTIVITY <br />As of September 30, 2015 the investments portfolio book value was $284,598,127 with a market value of <br />$284,829,886. <br />Of the $284,598,127, portfolio total, $260,783,638 is restricted for the following purposes: <br />$ 57,293,565 Special revenue projects <br />$ 2.819,610 Debt payments for county bonds <br />$ 65,067,104 Capital projects <br />$ 133,317,275 Business -type activities <br />$ 2,286,084 Escrow Funds <br />$ 260,783,638 TOTAL <br />RESTRICTED CASH BY FUND TYPE <br />(PERCENTAGES) <br />Special <br />Escrow Revenue <br />1% 22% <br />Business - <br />Type <br />51% <br />Capital <br />Projects <br />25% <br />Debt <br />Service <br />1% <br />The weighted average maturity of the investments as of September 30, 2015 is 11 months. Yields <br />on the individual investments ranged from 0.17% to 1.05%. The overall average yield for the <br />quarter was 0.47%. <br />Information on investment activity, total cash flows, interest earnings, and charts providing <br />additional information regarding the investment of surplus funds such as the portfolio composition <br />and maturity distribution are attached. <br />The attached schedules list the portfolio composition and activity for the quarter ending <br />September 30, 2015: <br />Schedule 1 <br />Schedule 2 <br />Schedule 3 <br />Schedule 4 <br />Schedule 5 <br />Schedule 6 <br />Schedule 7 <br />Schedule 8 <br />Portfolio sorted by type of debt instrument <br />Portfolio sorted by maturity date <br />Portfolio by maturity date bar graph <br />Portfolio by type pie chart <br />Investment purchases, calls and maturities for the quarter <br />Summary of cash flows and balances by month <br />Interest earnings summary <br />Allocation of investments by fund types (unrestricted and restricted balances) <br />50 <br />