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CITY OF PLEASANTON <br /> Portfolio Management Page 1 <br /> Portfolio Details - Investments <br /> February 28, 2022 <br /> Average Purchase Stated YTM YTM Days to Maturity <br /> CUSIP Investment# Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date <br /> Certificates of Deposit-Bank <br /> SYS 1090 1090 Fremont Bank 10/21/2021 257,958.09 257,958.09 257,958.09 0.150 0.148 0.150 416 04/21/2023 <br /> UBB 1081 United Business Bank 04/11/2020 258,349.08 258,349.08 258,349.08 0.550 0.542 0.550 41 04/11/2022 <br /> Subtotal and Average 516,307.17 516,307.17 516,307.17 516,307.17 0.345 0.350 228 <br /> LAIF <br /> SYS5 5 LOCAL AGENCY INVESTMENT FUND 12,000,000.00 12,000,000.00 12,000,000.00 0.234 0.231 0.234 1 <br /> Subtotal and Average 14,000,000.00 12,000,000.00 12,000,000.00 12,000,000.00 0.231 0.234 1 <br /> Fidelity-Government Fund <br /> SYS2 2 Fidelity-Money Market Fund 0.00 0.00 0.00 0.010 0.010 0.010 1 <br /> SYS2A 2A Fidelity-Money Market Fund 0.00 0.00 0.00 0.010 0.010 0.010 1 <br /> Subtotal and Average 0.00 0.00 0.00 0.00 0.000 0.000 0 <br /> Medium Term Notes <br /> 88579YBH3 6053 3M Company 02/14/2020 2,000,000.00 1,994,260.00 2,016,869.48 2.000 1.798 1.823 1,081 02/14/2025 <br /> 037833CQ1 6014 Apple Inc. 07/05/2017 1,000,000.00 1,002,360.00 1,002,150.00 2.300 2.222 2.253 71 05/11/2022 <br /> 037833CQ1 6015 Apple Inc. 12/20/2017 2,000,000.00 2,004,720.00 1,990,800.00 2.300 2.378 2.411 71 05/11/2022 <br /> 037833BU3 6024 Apple Inc. 08/31/2018 1,500,000.00 1,519,110.00 1,487,250.00 2.850 3.013 3.054 359 02/23/2023 <br /> 037833DC1 6044 Apple Inc. 04/16/2019 2,000,000.00 2,011,740.00 1,964,760.00 2.100 2.608 2.644 195 09/12/2022 <br /> 037833CU2 6045 Apple Inc. 05/03/2019 2,000,000.00 2,045,060.00 2,009,000.00 2.850 2.716 2.753 802 05/11/2024 <br /> 037833DM9 6048 Apple Inc. 01/07/2020 1,040,000.00 1,039,968.80 1,040,000.00 1.800 1.775 1.800 925 09/11/2024 <br /> 037833DF4 6049 Apple Inc. 01/13/2020 1,000,000.00 1,024,590.00 1,037,212.20 2.750 1.938 1.965 1,049 01/13/2025 <br /> 037833E62 6065 Apple Inc. 02/08/2021 2,000,000.00 1,912,220.00 1,996,860.00 0.700 0.722 0.732 1,440 02/08/2026 <br /> 037833BY5 6066 Apple Inc. 02/23/2021 3,000,000.00 3,133,890.00 3,331,380.00 3.250 0.967 0.981 1,455 02/23/2026 <br /> 084670BJ6 6060 BERKSHIRE HATHAWAY INC 03/24/2020 1,500,000.00 1,523,610.00 1,505,119.50 3.000 2.836 2.875 347 02/11/2023 <br /> 064159JG2 6026 Bank of Nova Scotia 11/02/2018 2,000,000.00 2,000,540.00 1,956,244.08 2.700 3.350 3.396 6 03/07/2022 <br /> 06406RAE7 6041 BANK OF NEWYORK MELLON 02/26/2019 2,000,000.00 2,025,420.00 2,003,610.13 2.950 2.861 2.901 334 01/29/2023 <br /> 17325FAS7 6051 CitiBank NA 01/23/2020 1,000,000.00 1,033,420.00 1,065,374.39 3.650 1.917 1.943 693 01/23/2024 <br /> 46632FSCO 6068 JPMorgan Chase Bank NA 06/22/2021 3,000,000.00 2,895,240.00 3,000,000.00 1.100 1.085 1.100 1,574 06/22/2026 <br /> 5949186Q6 6022 Microsoft Corp 07/12/2018 2,000,000.00 2,019,180.00 1,896,800.00 2.000 3.065 3.107 525 08/08/2023 <br /> 594918AT1 6023 Microsoft Corp 08/31/2018 1,500,000.00 1,515,645.00 1,457,400.00 2.375 2.990 3.032 426 05/01/2023 <br /> 69371RQ25 6062 PACCAR FINANCIAL CORP 03/31/2020 1,330,000.00 1,336,011.60 1,294,196.40 2.150 2.770 2.808 898 08/15/2024 <br /> 89236TEL5 6035 Toyota Motor Credit Corp 01/10/2019 1,180,000.00 1,194,443.20 1,151,479.40 2.700 3.304 3.350 316 01/11/2023 <br /> 89236TGL3 6046 Toyota Motor Credit Corp 10/24/2019 1,600,000.00 1,602,560.00 1,599,984.00 2.000 1.973 2.000 951 10/07/2024 <br /> 892331AC3 6047 Toyota Motor Credit Corp 01/07/2020 1,000,000.00 1,024,410.00 1,055,220.25 3.419 1.775 1.800 506 07/20/2023 <br /> 89236THW8 6067 Toyota Motor Credit Corp 03/09/2021 3,000,000.00 2,851,080.00 2,959,140.00 0.800 1.075 1.090 1,410 01/09/2026 <br /> 89788JAA7 6058 Truist Bank 03/13/2020 2,000,000.00 1,967,420.00 1,969,486.00 1.500 1.796 1.821 1,105 03/10/2025 <br /> 30231GAF9 6056 EXXON MOBIL CORPORATION 03/11/2020 3,000,000.00 3,058,500.00 3,145,587.00 2.709 1.667 1.690 1,101 03/06/2025 <br /> Portfolio PLST <br /> CC <br /> Run Date:04/04/2022-0944 PM(PRF_PM2)7.3.0 <br />