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CITY OF PLEASANTON <br /> INVESTMENT PORTFOLIO STATISTICS <br /> AS OF JUNE 30, 2011 <br /> ASSET COMPOSITION: <br /> Fair Value of Investments Held $214,574,394.80 <br /> Weighted Average Portfolio Life 2.0 years <br /> Breakdown of Asset Classification: <br /> U.S. Treasury Notes 15.47% <br /> Federal Farm Credit Bank(FFCB) Obligations 20.77% <br /> Federal Home Loan Bank(FHLB) Obligations 28.36% <br /> Federal Home Loan Mort. Corp. (FHLMC) Obligations 1.40% <br /> Federal National Mortgage Assn. (FNMA) Obligations 4.21% <br /> U.S. Government Money Market Funds 5.04% <br /> Local Agency Investment Fund (LAIF) 23.91% <br /> Medium Term Notes 0.49% <br /> Certificates of Deposit 0.35% <br /> Total 100.00% <br /> RETURN ON ASSETS: <br /> (As of June 30, 2011) <br /> Yield to Maturity 1.03% <br /> Fiscal YTD <br /> COMPARATIVE MARKET RATES: HISTORICAL RATES OF RETURN: <br /> (June 30, 2011) City of Pleasanton Pool <br /> Three Month Treasury Bill 0.03% June 30, 2007 4.87% <br /> Six Month Treasury Bill 0.10% June 30, 2008 3.70% <br /> One Year Treasury Bill 0.19% June 30, 2009 2.28% <br /> Two Year Treasury Note 0.45% June 30, 2010 1.83% <br /> SAFEKEEPING OF SECURITIES: <br /> As of June 30, 2011 the entire portfolio exclusive of money market accounts, CD's and LAIF <br /> (Local Agency Investment Fund), was held in third party safekeeping for the benefit of the City <br /> of Pleasanton at Bank of New York Mellon. Bank of New York Mellon is a contractual agent <br /> for the City of Pleasanton. <br />