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HomeMy WebLinkAboutItem 07 - Quarterly Investment ReportFinance and Management Services www.santa-ana.org/finance Item # 7 City of Santa Ana 20 Civic Center Plaza, Santa Ana, CA 92701 Staff Report November 15, 2022 TOPIC: Quarterly Investment Report AGENDA TITLE: Receive and File Quarterly Report of Investments as of September 30, 2022 RECOMMENDED ACTION Receive and file. DISCUSSION California Code Section 53646 (b) states that if a quarterly report is rendered to the legislative body, the quarterly investment report shall be submitted within 30 days following the end of the quarter covered by the report. In an effort to meet the statutory requirement, Finance & Management Services Agency ("FMSA") submits the Report via email for review and distribution to the City Council in advance. The report was emailed for distribution on October 24, 2022. The legislation specifies that this quarterly report contains the seven major elements listed below: 1. Type of investments, 2. Date of maturity, 3. Par and dollar amounts invested in each security, 4. Weighted average maturity of the investments, 5. Market value as of the date of the report, 6. Source of the market value information, and 7. Any funds, investments, or programs, including loans, under the management of contracted parties. These specifications include a statement outlining the ability of the City to meet the budgeted expenditures for the subsequent six months to be submitted to the City Council on a quarterly basis. Staff performs an end -of -month expenditure analysis to comply with the expenditure requirement and a statement confirming the ability to meet this requirement in the monthly and quarter -ending Treasurer's Report. The information is in compliance with State law and the City's Investment Policy. The attached Treasurer's Report (Exhibit 1) accurately reflects all pooled investments held on behalf of the City as of September 30, 2022. Quarterly Investment Report November 15, 2022 Page 2 The attached Cash held by Bank and Cash held by Fund(s) Listing (Exhibit 2) is a schedule of cash by funds added to the monthly and quarterly Report of Investments to enhance FMSA's reporting and transparency. The following two tables represent: (1) percentage limits set by the City's Investment Policy and State Law and shows respective City investment portfolio investment types, amounts, and percentages; and (2) the restricted cash balance as of September 30, 2022. Type of Investment yP Amounts Invested $ Portfolio % COSA Policy Limits State Law Limits Certificates of Deposit CDs $6,696,000 1.36% 30% 30% Federal Farm Credit Bank FFCB $60,409,210 12.23% None None Federal Home Loan Bank FHLB $225,225,370 45.62% None None Federal Home Loan Mortgage Corp. (FHLMC) $44,993,750 9.11 % None None Federal National Mortgage Association FNMA $60,927,930 12.33% None None Local Agency Investment Fund LAIF $18,206,879 3.69% None None Local Agency Investment Fund LAIF — ARPA $72,515,236 14.66% None None U.S. Treasury $4,990,000 1.00% None None Sub- Total: $493,964,375 100% None None Cash : $22,324,861 Total: $516,289,236 Restricted Cash In $ Restricted Cash t, $3,215,323 Total $3,215,323 t Restricted cash is held by various Trustees such as Bank of New York Mellon; US Bank; Signature Bank; and State of California Condemnation Fund. Restricted Cash is segregated from cash used for daily operations. The following City investment portfolio graph represents percentages within the respective investment types as of September 30, 2022. Quarterly Investment Report November 15, 2022 Page 3 U.S. Treasury 1.00% Local Agency Investment Fund (ARPA) 14.66% Local Agency Investment Fund �LAIF)... Federal National Mortgage Association (FMN4ral Hone Loan 12.3396 Mortgage Corp. (FHLMC) 9.11°0 City of Santa Ana Investment PortfoI io September 30, 2022 Certificates of aepo5it (Ca) 1.36% Federal Farm Credit Bank (FFCB) 12.23% Federal Home Loan Bank (FHL6) 45.62V� The following two tables represent, as of September 30, 2022: (1) the aggregate Average Market Yield To Date (AMTD); and (2) the breakdown of by investment type. Aggregate Average Market Yield To Date Average Month To Date (AMTD) 1 1.239% Investments Book Value of Investments YTM % of Portfolio Certificates of Deposit $6,696,000 1.181 % 1.36% 0.016% LAIF $18,206,878.78 1.513% 3.69% 0.056% LAIF ARPA $72,515,236.15 1.513% 14.68% 0.222% Federal Agency Securities $391,556,260.25 1.169% 79.27% 0.927% U.S. Treasury $4,990,000 1.839% 1.00% 0.018% $493,964,375 1.239% 100.00% 1.239% Cash held by Bank and Cash by Fund(s) Listing (Exhibit 2) The above -referenced exhibit (Exhibit 2) includes a comparison of bank balances between each City Cash account including Investments; Cash held at a City designated financial institution; Cash on Hand; and Restricted Cash versus the Cash held by various Fund(s). ENVIRONMENTAL IMPACT There is no environmental impact associated with this action. FISCAL IMPACT There is no fiscal impact associated with this action. Quarterly Investment Report November 15, 2022 Page 4 EXHIBIT(S) 1. Treasurer's Report 2. Cash Held by Bank and Cash Fund(s) Listing Submitted By: Kathryn Downs, FMSA Executive Director Approved By: Kristine Ridge, City Manager EXHIBIT 1 City of Santa Ana Portfolio Management Portfolio Summary September 30, 2022 Par Market Book % of Days to YTMIC Investments Value Value Value Portfolio Term Maturity Certificates of Deposit 6,696,OOD,DD 6,008,507.84 6,696,000.00 1.36 1.663 1,370 1.181 Local Agency Investment Funds 18,206,878.78 18,206,878.78 18.206.878.78 3.69 1 1 1.513 Cash in Banks 72,515,236.15 72,515,236.15 72.515.236.15 14.68 1 1 1.513 Federal Agency Coupon Securities 391,675,000.00 356,898,433.50 391,556,260.25 79.27 1,575 339 1.169 Treasury Coupon Securities 5,000,000.00 4,788,300.00 4,990,000.00 1.01 837 638 1.839 494,093,114.93 468,417,356.27 493,964,375.18 100.00% 1,280 294 1.239 Investments Cash Passbook/Checking 22, 324, 860.64 22, 324,860.64 22,324 860.64 1 1 0.000 (not included in yield calculations) Total Cash and Investments 516,417,975.57 460,742,216.91 516,289,235.82 1,280 294 1.239 Total Earnings September 30 Month Ending Fiscal Year To Date Current Year 528,977.11 1,571,668.43 Average Daily Balance 518,667,510.38 541,387,363.51 Effective Rate of Return 1.24% 1.15% This report contains all the required information in SB 866 and SB 564 and accurately reflects all pooled investments held during this reporting period on behalf of the City and the City of Santa Ana acting on behalf of the Community Redevelopment Agency. The information reported Herein is in compliance with State law and the City's Investment Policy. Based on liquidity of investments, the City of Santa Ana is able to meet budgeted expenditure requirements for the next six months, barring any catastrophic natural disasters. Market pricings are obtained through the City's third party trust services at BNY Melton Trust. Finance & Mgmt Services Agency, Reporting period 09/0112022-0913012022 Run Dale: 1011912022 - 1328 Portfolio CQSA CP PM{PRF PM1j7,3.11 Report Ver. T 3.11 City of Santa Ana Portfolio Management Portfolio Details - Investments September 30, 2022 Page 1 Average Purchase Stated YTM1C YTM1C Days to Maturity CUSIP investment 0 Issuer 13212neahate Par Value Market Value Book Value Rate360 366 Maturity Certificates of Deposit 06417NF73 14051 BANK OZK 11/12/2021 248.000.00 217.662.28 248,000.00 0.600 0.592 0.600 1,319 05/12/2026 02568KAJ4 14043 American Equity Bank 11/26/2021 248,000.00 218.194.05 248,000.00 0.700 0.690 0.700 1,334 05/27/2026 70962LAV4 14050 PENTAGON FCU 11/10/20ZI 248,000.00 210.199.00 248,000.00 1.DD0 0.986 1.000 1,501 1111M026 549104Z59 14046 LUANA SAVINGS BK 11/05/2021 248,000.00 214.764.03 248,000.00 D.600 0,592 0.600 1,496 11/06/2028 67155FD75 14047 SYNCHRONY RANK 11/05/2021 248.000.00 219,454.50 248,000.00 1.100 1.085 1,1DO 1,496 11/05/2026 02589ABT8 14D78 AMERICA EXPRESS NATL BK 0311612022 248.000.00 226,601.99 248,000.00 2.DDO 1.973 2000 1,627 03/16/2027 15721UET2 14D44 CFBANK 1111012021 248.000.00 218,790.96 248,000.00 0.850 0.838 0 850 1,378 07/10/2026 32022EAUO 14065 FIRST FEDERAL 12129/2021 248,000.OD 224,189.25 246,000.0D 0.850 0.63E 0,850 1,053 0a12912025 88413QDES 14056 THIRD FEDERAL S&L 11124/2021 248,000.00 225,840.98 248.000.00 0.8W 0,789 0,000 965 05/2312025 07371AH22 14084 BEAL BANK PLANO TX U313012022 248,000.DO 229.055.03 248,000.DD 2.250 2,219 2.250 1,635 03/2412027 38149MR47 14084 GOLDMAN SACHS 12/2212021 248,ODD.DO 223,501.57 248,ODD.DD 1.000 0,986 1.000 1,178 12/2212025 856285YQ8 14057 ST BK INDIA NY 11/29/2021 248,000 D0 219,561.49 248,00D.DD 1.150 1,134 1.150 1,521 11/30/2025 14042TEP8 14079 CAPITAL ONE BANK 03/16/2022 248,000,DO 226,601.99 248,000,00 2.000 1,973 2.000 1,627 03/1612027 59013KPNO 14M MERRICK BANK 111D912021 248,00000 219.166.13 24B4OOD.DD 1.100 1.085 1,100 1,500 11109/2026 30781JAWO 14054 FARMERS & MERCHANTS 11/19/2021 248,000.00 216,605.36 24B4ODD.DD O.BSo D.83B D.850 1,510 11119/2026 05580AH64 14061 BMW BANK OF NA 12117/2021 246,000,00 229.661.96 248,000,00 0.950 0.937 0,95D 008 12117/2024 45776NEN2 14062 INSBANK 12J2012021 248,000.00 219,544.43 248,000.00 0.900 0,888 0,900 1,357 06/19/2026 58404DMQ1 14063 MEDALLION BK UT 1212012021 248,000.00 219.960.28 248,00.00 1.250 1.233 1.250 1,542 12121/2026 89235MMB4 14052 TOYOTA FINANCIAL 1V12j2021 248,000.0 219,330.90 248,000.00 1.100 1.085 1.100 1,503 11112/2026 292079AR1 14045 EMPIRE ST BK NA 11112/2021 248.000.00 219,308.44 240,000.00 0.900 0.B88 0.900 1,381 07113/2026 07371CT25 14085 BEAL BANK USA 03/30/2022 248.000.00 229,055.03 248,000.00 2.250 2.219 2.250 1,635 03/24/2027 73319FBJ7 14053 POPPY BANK 11/17/2021 248,000.00 216,156.99 248,00D.00 0.800 0.789 0.800 1,508 11117/2026 320337EZ7 14048 FIRST GENERAL BK 111OU2021 248,000.00 226,076.70 248,000.D0 0.500 0.493 0.500 858 02/05/2025 39573LCCO 14055 GREENSTATE CU 11/23/2021 248,000.00 223,043.39 248,000.00 0.900 0.888 0.900 1,160 11/24/2025 617681.131.19 14082 MORGAN STANLEY PVT BANK 03/31/2022 248,000.00 229,072.34 248,000.D0 2.250 2.219 2.250 1,641 03/3012027 61773TCX9 14083 MORGAN STANLEY PVT BANK 03/31/2022 248,000.00 229.072.34 248,000.00 2,250 2.219 2.250 1,641 D3130f1027 795451BAD 14060 SALLIE MAE BANK 12/16/2021 248,000.00 229,945.45 248,000.00 1.000 0.986 1.000 807 12/16/2024 Subtotal and Average 6,696,000.00 6,696,000.00 6.008,507.84 6,696,000,00 1.168 1.181 1,370 Local Agency Investment Funds LAIFCITY LAIFCITY Local Agency Investment Fund 18,206,878.7E 18,206.878.78 1B,206,878.78 1_613 1.492 1.513 1 Subtotal and Average 23,040,212.11 18,206,87838 18,206.878.78 18,206,B78.78 1.402 1.513 1 Cash in Banks LAIF ARPA LAIF ARPA Local Agency Investment fund 72,515,236.15 72,515,236.16 72,515,236,15 1.513 1.492 1.513 1 Run Data: 10l1912D22. 13'18 Portfolio COSA CP PM (PRF_PM2) 7.3.11 Report Ver. 7.3.11 City of Santa Ana Portfolio Management Portfolio Details - Investments September 30, 2022 Page 2 Average Purchase Stated YTM1C YTMIC Days to Maturity CUSIP Investment Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturit v Date Subtotal and Average 92,385,038.02 72,516,236.15 72,616,230.15 72,615,230.15 1.492 1.513 1 Federal Agency Coupon Securities 3133EJ5W5 13868 Federal Farm Credit Bank 01/29/2019 925,000,DO 909,756.00 924.195,25 2.650 2.634 2 670 387 1012312023 3133EKBW5 13876 Federal Farm Credit Bank 03104/2019 3,000,0D0.D0 2,930,040.00 2,998,740.DD 2.610 2.583 2 619 514 0212712024 3133ECPMO 13804 Federal Farm Credit Bank 03115/2019 2,000,000.00 1,915,280.00 1,975,960.D0 2.125 2,396 2 430 226 D511512023 3133EKPG5 13897 Federal Farm Credit Bank o611012019 1,50D,000.00 1,469.100.00 1,512,455.00 2,125 1,894 1.9ZU 339 0910572D23 3133FKY91 13932 Federal Farm Credit Bank 10111/2019 2,500,0D0.00 2,498,900.00 2,496.700.00 1.375 1,401 1,420 10 10111/2022 3133EK3M6 13934 Federal Farm Credit Bank 10/23/2019 5,000,000.00 4,865,400.00 5,003,650.00 1.625 1,584 1.606 387 10123/2023 3133ELX33 13974 Federal Farm Credit Bank 07/22/2020 6,000,000.00 5,415,960.00 6,000,000.00 0.690 0,681 0,690 1,025 07122/2025 3133EMBH4 13988 Federal Farm Credit Bank 09/29/2020 5,000,000.00 4,446,500.00 5,000,0150.00 0.530 0,523 0.530 1,094 0912912025 3133EMFREI 13991 Federal Farm Credit Bank 11/0312020 5,000,OD0.00 4,432,650.00 4,997,500.00 0.540 0.551 0.565 33 11/03/2025 3133EMSU7 14005 Federal Farm Credit Bank 03M912021 4,000,000.00 3,535,80D.06 4,000,000.00 0.800 0.789 0.800 159 03/09/2026 3133EMUP5 14006 Federal Farm Credit Bank 04/01/2021 6,ODO,O00.0O 5,454,880.00 6,ODD,000,00 0.710 0.692 0.701 913 04/01/2025 3133EMWH1 14016 Federal Farm Credit Sank OV2112021 5,000,D00.00 4,545,100.00 5,000,000,00 0.710 0.700 0.710 933 04/21/2025 3133EM2C5 14032 Federal Farm Credit Bank 08/10/2021 6,000,000.00 5,213,88UM 6,000,D00.00 0.710 0.700 0.710 313 08/10/2026 3133ENPBO 14075 Federal Farm Credit Bank 02/16/2022 3,500,000.00 3,181,885,00 3,5D0,000.00 2.180 2.150 2.180 503 02/16/2027 3133ENUH1 14086 Federal Farm Credit Bank 04I1212022 2,000,000.00 1,889,220.00 2,000,D00.00 3.330 3.284 3.330 193 04/12/2027 3133ENVV9 14688 Federal Farm Credit Bank 05/03/2022 3,0DOM0,00 2,858,100.0D 3,ODO.DOO.00 3.630 3.580 3.630 1,675 05/03/2027 3130ADMX7 13854 Federal Home Loan Bank 06/31/2018 1,500,D0000 1,491,705.0o 1,486,650,130 2,5D0 2.662 2.699 160 0311012023 3130AFW94 13873 Federal Home Loan Bank 07J2712019 2,000,000.00 1,954,950.00 1,996,220.DD 2,5D0 2.506 2.541 500 0211312024 313OA93H7 13889 Federal Home Loan Bank o412912019 3,0130,ODO.D0 2,916,750.00 2,999,250.()0 2.375 2.348 2.380 524 03108/2024 3130AKPQ3 13996 Federal Home Loan Bank 01/28/2021 4,000,000.D0 3,515,680.OD 4,000,000,00 0.580 0.572 0,580 27 01128/2026 3130AKU53 13997 Federal Home Loan Bank 0112812021 5,000,OD0.00 4,385,450.00 5,000,000,00 0.520 0.513 0 520 27 01/28/2026 3130AKN69 13998 Federal Home Loan Bank 0112812021 6,000,0D0,00 5,258,940.00 6,01)0,00t1.00 0.500 0.493 0,500 119 01128/2(126 3130ALA53 13999 Federal Home Loan Bank 02/25/2021 5,000,DD0.00 4,385,800.00 5,OD0,000.00 0.600 0.592 0,600 55 02125/2026 3130ALBM5 140D1 Federal Home Loan Bank 02124/2021 5,000,000.00 4,390,100.00 5,OD0,000.00 0.625 0.616 0,625 54 02124/2026 3130ALB52 14002 Federal Home Loan Bank 02125/2021 5,000,000,00 4,527,400.00 5,000,000.D0 0.375 0.370 0,375 147 02/2512025 3130ALDZ4 14003 Federal Home Loan Bank 03/10/2021 4,000,000.00 3,627,680.00 4,000,13O0.D0 0.500 0.493 0,500 70 03/1012025 3130ALKN3 14004 Federal Home Loan Bank 03124/2021 4,000,000.00 3,694,360.01) 4,000,000.D0 0.500 0.493 0,500 84 09124121124 3130ALLP7 14007 Federal Home Loan Bank 03/29/2021 6,ODO,DOD,00 5,458,260.00 5,997,0oo.00 0.650 0.666 0,676 77 03117/2025 3130ALW67 14008 Federal Home Loan Bank 04122J2021 5,000,000.00 4,443,100.00 5,000,000.D0 1.100 1.085 1,10D 21 0412212026 3130AMYUO 14024 Federal Home Loan Bank 06130/2021 6,000,000.00 5,292,480.00 6,000,000.Do 1.050 1.036 1,050 90 06/30/2026 3130AMYCO 14025 Federal Home Loan Bank 06/30/2021 6,00Q000.00 5,323,080.00 6,000,000.D0 1.0w 0.986 1,000 90 03130/2026 3130AMSFO 14026 Federal Home Loan Bank 06/28/2021 6,000,000.00 5,584,26D.00 6,000.000.00 0.400 0,395 0,400 88 06128/2024 3130ANFU9 14027 Fasteral Home Loan Bank 07/29/2021 5,000,0DO.00 4,365,700.00 5,000,000.00 0.850 0.838 D.850 1,397 07129I2025 3130ANFGB 14028 Federal Home Loan Bank 08I18/2021 5,000,ODO.00 4,397,40D.00 5,000,000.00 0.875 0.063 0 B75 48 05M U2026 3130ANE30 14029 Federal Home Loan Bank 07/29/2021 5,000,000 0D 4,389,000.00 5,000,000.00 0.500 0 493 0.500 28 07129/2026 Portfolio COSA CP Run DAa: UP W2022 - 13:28 PM (PRF_PM2) 7.3.11 City of Santa Ana Portfolio Management Portfolio Details - Investments September 30, 2022 Page 3 Average Purchase Staked YTMIC YTM1C Bays to Maturity CUSiP Investment # Issuer Balance Bate Par Value Market Value Book Value Rate 360 365 Maturity Dat% Federal Agency Coupon Securities 3130ANHV5 14033 Federal Home Loan Bank 0811912021 5,000,OOO.DO 4,580,DDO.00 5,000.wo.00 0.550 0.542 0.550 810 12119/2024 3130ANPE4 14034 Federal Horne Loan Bank 08126/2021 6,000,000.00 5,374.860.00 6,000,000.00 0.700 0.69D 0.700 329 0812612025 3130ANQ78 14036 Federal Home Loan Bank 08127/2021 6,00D,00D,00 5,248,B00.00 6,000,000.00 0.900 0.88B 0.900 149 00127/2026 3130AP3E3 14036 Federal Home Loan Bank 09/30/2021 5,000,000.00 4,339,750.00 5,OOO,D00.00 0.820 0.809 0.820 1,460 09/30/2026 3130ANX62 14037 Federal Home Loan Bank 09130/2021 51000,000.00 4,499,050.00 5,OW,000.00 0.550 0.641 0.650 90 06/30/2025 3130APB79 14038 Federal Home Loan Bank 09/30/2021 5,OOD,000.00 4,368,850.00 5,000,000,D0 1.DDO 0.986 1.000 1,460 09/30/2026 3130AP3A1 14039 Federal Home Loan Bank 09129/2021 5,000,D00.00 4,377,150.00 4,996,750.00 0.850 0.855 0.867 89 06/29/2026 3130APB46 14040 Federal Home Loan Bank 1BY1312021 10,000,000,00 8,710,10O.D0 10,000,000.00 0.950 0.937 0,950 377 10/13/2026 3130APQC2 14041 Federal Home Loan Bank 11123/2021 5,OW,000.OD 4,699,300.D0 5,000,DW.W 0.750 0.740 0,750 53 05/23/2024 3130APQ84 14042 Federal Home Loan Bank 11/23/2021 51000,000.00 4,439,550.00 510001000.00 1.500 1.479 1.500 22 11/23/2026 3130APVC6 14058 Federal Home Loan Bank 12/14/2021 510001000.00 4,414,850.D0 4,997,500.00 1.375 1.408 1.427 61 12/01/2026 3130ACtAB9 14059 Federal Home Loan Bank 12/3012021 3,750,000.00 3,33a,287.50 3,750,000.00 1,625 1.603 1.625 90 12/30/2026 313OAQLQ4 14069 Federal Home Loan Bank 01/2712022 5,000,000.00 4,447.550.00 5,000,000.00 1.650 1.627 1.650 118 01/27/2027 3130AQKM4 14070 Federal Hume Loan Bank 01128)2022 1,500,000.00 1,339,590.0D 1,501),00D.00 1.750 1.726 1.750 27 01/2WO27 313DAQNRO 14071 Federal Home Loan Bank 0112112072 3,000,n00.()O 2,679,450.00 3,000,oulwu 1.750 1.726 1.750 118 01/27/2027 3130AQSA2 14072 Federal Home Loan Bank 02/10/2022 5,000,0DO.00 4,491,600.00 5,0001WO,00 1.830 1.805 1.830 132 02/10/2027 313OAQW33 14073 Federal Home Loan Bank O2J2412022 5,000,DO 0.00 4,506,650.00 5,ODO,000.00 2.020 1.992 2.020 146 02124/2027 313OAQYAS 14074 Federal Home Loan Bank 0212812022 1,50D,000.0D 1,371,900.00 1,500,000.00 2.250 2.224 2.255 146 02/24/2027 313GARA35 14076 Federal Home Loan Bank 03124/2022 3,00D,000.Oo 2,820,090.00 3,000,DDO.00 2.000 1.973 2.000 84 03/24/2025 3130ARC82 141377 Federal Home Loan Bank 0312912022 3,00O,OD0.00 217161980.00 3,000,0130.00 2.100 Z.071 2100 179 03/29/2027 3130ARD65 14080 Federal Home Loan Bank D312812022 2,00[3,000.00 1,942,660,00 2,OD1),DO0.00 1.625 1.548 1,510 362 0912B12D23 3130ARR60 14087 Federal Home Loan Bank 04/2912022 2,000,DDD.00 1,924,140.00 2,000,DDO.00 3.1DO 3.058 3.100 28 04/29/2025 3130ASHV4 14089 Federal Home Loan Bank 0612812022 20,000,000.D0 19,753,600.00 20,000,000.00 3.050 3.008 3.050 270 07/25/2023 3130ASLJ6 14090 Federal Home Loan Bank 06129/2022 20,000,000 00 19,636,600,00 20,000.000,00 3.100 2.028 2056 357 12/29/2023 3134GVQX9 13962 Federal Home Loan Mortgage Co. 05/05/2020 5,000,000.00 4,533,050.00 4,995,DD0.D0 0,700 0.711 0,720 947 05/05/2025 3134GVVX3 13964 Federal Home Loan Mortgage Co. 0512812020 5,ODD,000.00 4,527,950.00 4,998,750.00 0.750 0.750 0,760 58 0512812025 3134GVR26 13967 Federal Home Loan Mortgage Co, 06125/2020 6,000,00D.00 5,423,640.00 6,000,000.00 a.700 0.690 0,700 267 0612512025 3134GVTO9 13968 Federal Home Loan Mortgage Co 06/3012020 6,000,000.00 5,443,860.DD 5,ODO,000.DD 0.650 0.641 0,6W 1,003 06/30/2025 3134GVSRS 13979 Federal Home Loan Mortgage Co. 07/15/2020 6,000,0D0.00 5,598,420.00 6,ODO,000.DD 0.570 0.562 0,570 14 07/15/2024 3134GWUE4 13987 Federal Home Loan Mortgage Co, 09/30/2020 5,000,000.00 4,441,000.00 5,000,000.00 0.500 0,493 0,5DO 90 09/3012025 3134GW4Z6 13989 Federal Home Loan Mortgage Co. 10/27/2020 6,000,000.00 5,322,9DO.00 6,000,000.131) 0.540 0,533 0,540 26 1012712025 3134GXJL9 13995 Federal Home Loan Mortgage Co. WJ3012020 6,000,0DO.00 5,283,000.D0 6,01)0,000.00 0.500 OA93 0,500 90 12130YL025 3135GOT94 13850 Federal Nat'l Mtg. Assoc. 03/28/2016 2,000,000.00 1,992.240.00 1,971,780.00 2.375 2,653 2,589 110 0111912023 3135GOT78 13857 Federal Nat'l Mtg, Assoc, 05/31/2018 1,000,000,00 999,920.00 971,4D0,DO 2.DOO 2.665 2,702 4 101D512022 3135UGX24 13940 Federal Nat'i Mtg. Assoc. 01/15/2020 5,000,000.oO 4,717,900.00 4,990,750.DO 1.525 1.641 1,664 829 01107/2025 3135GOW66 13941 Federal Nat'l Mtg. Assoc. 01/15/2020 5,000,00O.DO 4,745,600.00 4,994,OW,00 1.625 1.629 1,651 745 1011512024 Portfolio COSA CP Run Dee: 1011912022 - 13:28 PM (PRF_PM2) 7.3.11 City of Santa Ana Portfolio Management Portfolio Details - Investments September 30, 2022 Page 4 Average Purchase Stated YTM1C YTMIC Day%to Maturity CUSIP Investment 0 Issuer balance Date Par Value Market Value Book Value Rate 380 365 Maturity Date Federal Agency Coupon Securities 3136G4WV1 13965 Federal Nat'l Mtg. Assoc. 06116/2020 5,000,000.OD 4,524,200.00 5,000,0D0.00 0.750 0,740 0.750 989 06116/2025 3136G4D42 13976 Federal Nat'l Mtg. Assoc. 07128/2020 8,000,00D,00 7,150,720.00 8,000,000.00 0.510 0.503 0.510 300 07I28I2025 3136G4C43 13977 Federal Nat'l Mtg. Assoc. 08/14/2020 6,000.000.00 5r381,040.00 6,0D0,000.00 0.660 0.641 0.650 1,048 08I14/2025 3135G4G98 1397a Federal Nat'l Mtg. Assoc. 08/1212020 6,000,000.00 5,367,840.00 6,0D0,000.00 0.560 0.552 0.SW 42 08112/2025 3136G45Q2 13990 Federal Nat'I Mtg. Assoc. 10/28/2020 6,000,OD0.00 5,320,560.00 5,000,D00.00 0.530 0.623 0.530 27 IW2812025 3135GA4VO 13992 Federal Nat'I Mtg. Assoc. 11/26/2020 5,000.000.00 4,435,400.00 5,000,000.00 0.625 0.616 0.625 55 11/25/2025 3135GAAN1 13993 Federal Nat'l Mtg. Assoc. 12117/2020 6,000,000.00 5,306,940.00 6,000,000.00 0.600 0.592 0.600 77 12/17/2025 3135GO6J7 13994 Federal Nat'l Mtg. Assoc. 1211012020 6,000,000.00 5,319,360.00 6,000,000.00 0.650 0.641 0.550 70 12/10/2025 Subtotal and Average 391,556,26D.2S 1.153 1.169 339 Treasury Coupon Securities 9128286ZB 14081 U.S. Treasury 03116/2022 S,000,000.00 4.788r300.00 4,990,000.00 1.750 1.B14 1.839 638 O6130I2024 Subtotal and Average 4,990,000.00 5,000,000.00 4,788,300.00 4,090,000.00 1.814 1.839 636 Total and Average 518,667,510.38 494,083,114.93 458,417,366.27 483,904,376.18 1.222 1.239 294 391,676,000.00 356,898,433.50 391.556,260.28 Portfolio COSA CP Run Date: 1011 M22 - 13:28 City of Santa Ana Portfolio Management Portfolio Details - Cash September 30, 2022 Page 5 Average Purchase Stated YTMIC YTWC Days to CUSIP Investment # Issuer Balance bate Par Value Market Value Book Value Rate 360 _ 365 Maturity Cash in Banks PETTY CASH PETTY CASH CITY OF SANTA ANA 83,779.00 83,779.00 83.779.00 0.000 0.000 1 HOUSING 13943 JP MORGAN CHASE 2.966.114.18 2,966,114.10 2,966,114.18 0.000 0.000 1 WORKERS COMPENS 37983 JP MORGAN CHASE 1,669,312.63 1,669,312.63 1,669,312.63 0.000 0,000 1 GENERAL LIARW 38130 JP MORGAN CHASE 1,887,049.13 1,087,049.13 1,887,049.13 0.000 0,000 1 PROPERTY MANAGE 8695 JP MORGAN CHASE 35,084.30 35,084.30 35,084.30 0.000 0,000 1 PROPERTY MGMT 2 PROP MGMT 2 JP MORGAN CHASE 1,492.50 1,492.50 1,492.60 0.000 0.000 1 HEALTHCARE SPEN 0112 JPMorgan Chase 311,094.84 311,094.84 311,094.64 O.ODO 0.000 1 COMMISSARY 7962 JPMorgan Chase 359,692.77 359,692.77 359,692.77 0.000 0.000 1 GENERAL ACCOUNT 9500 JPMorgan Chase 14,173,925.15 14,173,925.15 14,173,925.15 O.00O 0.000 1 FSS F55 Santa Ana Federal Credit Union 837,316.14 837.310.14 837,316.14 0.000 O.DDO 1 Average Balance 0.00 1 Total Cash and Investments 518,667,510.38 516,417,975.57 480,742,216.91 516,289,236.82 1.222 1.239 294 Portfolio COSA CP Run Date: 1011912022. 13:28 PM (PRF_PM2) 7.3,11 CUSIP Investmnt* Issuer CASHISECURITIES HELD IN TRUST Portfolio Management Portfolio Details - Investments September 30, 2022 Par Valus Market Value Page 1 I Dlgltalty, signed by 1,eyLI Carey I Date: 2022.10.18 Bank Value 11:0356-07'00' Money Marken Accounts -- X9USDOTPC 80364 Dreyfus Treasury 10.571.44 10,571.44 10.571.44 X9USDDTPC 80366 Dreyfus Treasury 4,15C.86 4,160.66 4,150,66 XSUSDDEFU-- 80107 INSTL RES THE AND AGNY CASH 2,812.97 2,612.87 2,012.97 9AMMFD562 80405 US BANK MONEY MARKET 1.03 1.03 1.03 9AMMF0662— 80406 US BANK MONEY MARKET 0.66 0,68 0.56 9AMMF05B2- 80407 US BANK MONEY MARKET 0.13 0.13 0,13 SYS80418 80418 US BANK MONEY MARKET 523,608.38 523,305.47 523,886,36 SYS80419 80419 US BANK MONEY MARKET 105,343.76 106,343.70 105,343.76 SYS80421 80421 US BANK MONEY MARKET 6.31 5.31 5.31 S184OV401 80430 US BANK MONEY MARKET 2,735.61 2,735.61 2,735.61 31846V401- 80432 US BANK MONEY MARKET 11,238.14 11,236.14 11,236.14 X9USDMOR3- 00243 MORGAN STANLEY GOVf INSTL 109,387.11 109.387.11 109,387.11 X9USDMOR3 00248 MORGAN STANLEY GOVF INSTL 194.61 194,81 194.61 Subtotal and Average 769,925.67 769.624.78 769,825.67 Other S80209710 80225 MBIA INSURANCE POLICY 981NPSPV2 80398 ASSURED GUARANTY MUNI CORP Subtotal and Average 1.00 1 nn 2.00 1.D0 1.00 1.D0 1.Q0 2.00 2.00 Cash In Bank SYS80414 80414 SIGNATURE BANK 1,268,889.87 1,268,8>19.87 1,288,889.87 SYS80415 00415 CONDEMNATION DEPOSIT FUND 1,176,525.00 1,178,525.00 1,178,525.00 Subtotal and Average 2,445,384.87 2,445,394.87 2,445,384.87 Total and Average 3,215,322.54 3,215,021.68 3,215,322.54 Run Date: 1011 &2022 - 08:15 Porftlo TRST AC PM (PRF PM2) 7.3,11 Report Ver, 7.3.11 Quarterly Report of Investments as of September 30, 2022 Exhibit 2 - Cash held by Bank and Cash by Fund(s) Listing EXHIBIT 2 Investments Certificates of Deposit Bank of New York Mellon - Investment Custodian Local Agency Investment Fund (L.A.I.F) Local Agency Investment Fund (L.A.I.F) - ARPA Total - Investments Cash Held at City Financial Institution(s) and Cash on Hand General Account General Liability Account Housing Account Workers Compensation Account Santa Ana Federal Credit Union - Family Self Sufficiency (Fss-Housing) Commissary Account Flexible Benefit Spending Account Property Management Account Property Management - Phase 2 Account Petty Cash Total - Cash Held at City Financial Institution(s) and Cash on Hand Restricted Cash Signature Bank - Streetlight Project US Bank - Pension Stability Funds (Section 115 Trust with PARS) Bank of New York Mellon - Various US Bank - Warner Industrial Community State of California Condemnation Fund - Right of Way Deposits US Bank - Gas Tax Bonds Total - Restricted Cash Amount 6,696,000 396,546,260 18,206,879 72,515,236 Amount 14,173,925 1,887,049 2,966,114 1,669,313 837,316 359,693 311,095 35,084 1,493 493,964,375 83,779 22,324,861 Amount 1,268,870 523,686 124,109 105,344 1,176,525 16,788 3,215,323 Total Cash Held City at Financial Institution(s), Cash on Hand and Restricted Cash Cash by Fund(s) - Total (see below for listing) Fund Fund description Amount 011 GENERAL FUND 78,331,430 012 CANNABIS PUBLIC BENEFIT 25,046,112 016 CASP CERTIFICATION & TRAINING 351,584 020 OTS-TRAFFIC OFFENDER PROGRAM 33,705 021 PRCSA CATV FUND 1,784,864 022 PRCSA FEE & DONATION 1,013,846 023 INMATE WELFARE FUND 1,848,673 024 PD ATHLETIC ACTIVITIES LEAGUE (122,342) 025 IDB & EZ VOUCHER MONITORING 200,641 026 ASSET FORFEITURE FUND 144,703 027 PARKING FUND 1,580,190 029 SPECIAL GAS TAX 26,157,926 030 PROP 1B BOND ACT OF 2006 154,053 031 AIR QUALITY IMPR. (AB 2766) 1,973,227 032 MEASURE M-STREET CONSTRUCTION (7,815,291) 033 NEW TRANSPO SYS IMPR AREA B 576,022 034 NEW TRANSPO SYS IMPR AREA E 1,502,076 035 NEW TRANSPO SYS IMPR AREA F 1,779,573 040 GENERAL FIXED ASSETS - 041 TRANSP SYS IMPR AREA A-2 701,161 042 TRANSPO SYS IMPR AREA B 9,601 048 TRANSPO SYS IMPR AREA C-2 214,434 049 TRANSPO SYS IMPR AREA G 98,836 051 CAPITAL OUTLAY FUND 4,225,818 053 CITY SERVICES 7,968,551 054 SANITARY SEWER CAPITAL 15,681,615 055 SEWER CONNECTION FEE 6,828,738 056 SANITARY SEWER SERVICE 7,791,925 057 FED CLEAN WATER PROTECTION ENT 4,730,962 058 RESIDENTIAL STREET IMPROVEMENT 5,441,044 059 SELECT STREET CONSTRUCTION 24,819,127 060 WATER REVENUE 40,789,708 066 ACQUISITION & CONSTRUCTION 3,099,727 519,504,558 519,504,558 Page 1 of 3 Quarterly Report of Investments as of September 30, 2022 Exhibit 2 - Cash held by Bank and Cash by Fund(s) Listing 067 068 069 070 071 073 074 075 076 078 080 081 082 083 085 086 087 088 089 090 093 094 095 096 097 100 101 103 104 106 107 109 110 120 121 122 123 124 125 127 128 130 131 133 135 136 137 138 139 140 142 143 144 145 147 148 149 152 153 154 155 157 158 160 161 162 164 165 166 167 169 170 172 175 REGIONAL TRANSP CENTER 553,758 SANITATION FUND 6,046,046 REFUSE COLLECTION SERVICE 6,140,873 EQUIPMENT REPLACEMENT FUND 7,797,816 CENTRAL SERVICES 120,352 BUILDING MAINT FUND 2,372,410 CIVIC CENTER MAINTENANCE (762,941) FLEET MAINTENANCE/STORES (137,243) STORES & PROPERTY CONTROL (702,664) RETIREMENT SYSTEM (7,138,447) LIABILITY AND PROPERTY INS FND 10,124,866 EMPLOYEE GROUP INSURANCE 317,109 WORKERS COMPENSATION FUND 17,235,330 PAYROLL REVOLVING 6,936,280 CITY YARD OPERATION (188,235) PUB WKS ENG/PROJ MGMT (56,713) PT RETIREMENT FUND 8,806 QUALITY SERVICE TRAINING 204,841 CA SEISMIC HAZARD PROGRAM 32,002 ORANGE CO SANITATION DIST 2&3 1,003,019 BUSINESS IMPROVEMENT DISTRICT 291,199 INTEREST AGENCY - POLICE COMMISSARY ACCOUNT 314,858 SA TOURISM MARKETING DISTRICT 139,193 POLICE SEIZED ASSETS 1,617,348 SECTION 457 FIDUCIARY ADMIN 50,450 PUB WKS-ADMIN & PLANNING 1,548,731 PMA RETIREE HEALTH INSURANCE 7,860 SEIU RETIREE HEALTH INSURANCE 41,255 MGMT RETIREE HEALTH INSURANCE 5,685 UC RETIREE HEALTH INSURANCE 1,791 INFO SYS STRATEGIC PLAN 12,550,755 STRONG MOTION INSTRUMENTATION 103,332 FIRE FACILITIES FUND 2,799,415 SPECIAL REPAIR/DEMOLITION 652,192 EMERGENCY & HEALTH GRANTS 4,442,458 WORKFORCE INVESTMENT ACT (956,022) ORANGE COUNTY SSA GRANTS 16,536 OES UASI (807,685) D.O.J. GRANT FUND 40,739 POLICE BLOCK GRANTS 1,257,720 HOME PROGRAM FEDERAL GRANT 1,523,180 MISC GRANTS 1,248 HOUSING AUTHORITY -ISSUER FEE 2,699,193 COMMUNITY DEV BLOCK GRANT (1,201,355) HOUSING AUTHORITY -VOUCHER HAP 291,598 HOUSING AUTHORITY- MAINSTREAM - HOUSING AUTHORITY -MS 5 (67,383) HOUSING AUTHORITY -NEW CONSTR 280,127 HOUSING AUTHORITY -VOUCHER ADM 2,489,725 NSP FEDERAL GRANT 140,077 CALHOME MFGD HSG LOAN 708,624 PRISON TO EMPLOYMENT PROGRAM - RENTAL REHABILITATION GRANT 48,402 FEDERAL AID SAFETY PROGRAM (518,734) TRAFFIC SYSTEM MGMT GRANT (4,432,570) WIC ASSESSMENT DIST ST IMPRV 32,897 PUBLIC LIBRARY GRANT FUND 409 LIBRARY GRANTS 42,388 LIBRARY SVCS & TECHNOLOGY ACT 1,375 OCJP GRANT - HSG ADMIN CARES ACT COVID-19 428 PLANNING GRANTS PROGRAM 3,894,994 HSG HAP CARES ACT COVID-19 - PRCSA CAPITAL GRANTS (611,354) ENERGY CONSERVATION PROGRAM 16,404 PUB WKS-WTR QUALITY & CONTROL (4,031,217) OFFICE OF SAFETY GRANT 9,182 US DO] ASSET FORFEITURE FUND 970,909 US TREASURY ASSET FORFEITURE 140,005 RECREATION GRANTS FUND 568,947 MS5 HAP CARES ACT COVID-19 - NATL RECREATION TRAILS FND ACT 17,230 CARES ACT - CESF - Page 2 of 3 Quarterly Report of Investments as of September 30, 2022 Exhibit 2 - Cash held by Bank and Cash by Fund(s) Listing 176 CARES ACT - State 177 EMERGENCY RENTAL ASSISTANCE PG 3,980,756 178 COVID RELIEF FUND (181,981) 179 GENERAL FIXED ASSETS 203,452 180 ARPA EHV ADMIN FEES 162,278 181 AMERICAN RESCUE PLAN ACT 113,240,534 182 HOME -ARP PROGRAM FEDERAL GRANT (9,979) 183 ARPA - CA FOR ALL YOUTH WDP (39,379) 201 LOCAL DRAINAGE AREA NO 1 133 202 LOCAL DRAINAGE AREA NO 2 1,436 203 LOCAL DRAINAGE AREA NO 3 758,803 204 LOCAL DRAINAGE AREA NO 4 1,061 205 LOCAL DRAINAGE AREA NO 5 603 206 LOCAL DRAINAGE AREA NO 6 885 207 LOCAL DRAINAGE AREA NO 7 195,142 209 LOCAL DRAINAGE AREA NO 9 736 210 LOCAL DRAINAGE AREA NO 10 17,255 211 LOCAL DRAINAGE AREA NO 11 224 212 LOCAL DRAINAGE AREA NO 12 13 213 LOCAL DRAINAGE AREA NO 13 2,711 221 LOCAL DRAINAGE AREA I 1,025,327 222 LOCAL DRAINAGE AREA II 275,562 223 LOCAL DRAINAGE AREA III 423,014 224 LOCAL DRAINAGE AREA IV 436,583 225 LOCAL DRAINAGE AREA V 282,420 226 LOCAL DRAINAGE AREA VI 383,020 301 REC/COMM SVS 6,072 311 RESIDENTIAL DEVELOP DISTRICT 1 3,297,555 312 RESIDENTIAL DEVELOP DISTRICT 2 5,473,509 313 RESIDENTIAL DEVELOP DISTRICT 3 13,447,232 314 RESIDENTIAL DEVELOP DISTRICT 4 664,868 400 POLICE UUT LEASE REVENUE BONDS 1,167,140 403 SCAG GRANTS - 404 COSA 2014 LEASE FINANCING 1,360,240 406 2021 PENSION OBLIGATION BONDS 11,223 417 INCLUSIONARY HOUSING FEE 14,702,427 418 CDA - PEEBLER CAPITAL FUND 1,314,600 607 HOUSING AUTHORITY LMIHF 4,867,083 652 2003A SERIES TAX ALLOC BOND - 654 2011A SERIES TAX ALLOC BOND - 655 2018A SERIES TAX ALLOC BOND 11,781 658 2003E SERIES ALLOC BOND - 670 COSA RDA 475,555 671 COSA RDA OBLIGATION RETIREMENT 511,981 980 SAN JUANQUIN TRANS CORRIDOR - 981 EASTERN FOOTHILL TRANS CORRIDO - 991 TRAN SYS IMP AUT C-2 TUSTIN 2,611,027 992 TRAN SYS IMP AUT AREA D-TUSTIN 10,528,421 993 WIC ASSESSMENT DISTRICT 305,001 998 TREASURERS AGENCY COLLECTIONS - 999 Lawson Clearing 3,627 Reconciling Item(s) - Outstanding Checks * 3,779,924 Reconciling Item(s) - Bank Direct Deposits* 280,780 Reconciling Item(s) - Deposits in Transit* (150,468.77) Reconciling Item(s) - Withdrawals in Transit* Reconciling Item(s) - Various* (307,670) Reconciling Item(s) - Various: A difference between Cash held by Financial Institution, Fiscal Agent and Cash on Hand exists when comparing to Cash by Fund due, to reconciling items such as timing of payments; outstanding checks; and deposits in transit Page 3 of 3