Title
Presentation of the Investment Report of the City of League City for the quarter ended March 31, 2017 (Assistant City Manager)
Background:
The Public Funds Investment Act (PFIA), Texas Government Code, Chapter 2256 states that no less than quarterly, the investment officer(s) shall prepare and submit to the governing body a written report of investment transactions for all funds covered by the Act for the preceding reporting period. Presentation of this report fulfills that requirement.
This report reflects that on March 31, 2017, the City's total portfolio of $155,595,140 was managed in compliance with the PFIA and the City's investment policies.
The total portfolio (book value) was invested as follows:
December 31, 2016 March 31, 2017
Cash $ 1,935,765.88 $ 1,297,281.21
CDs $ 7,127,645.29 $ 7,138,888.44
Investment Pools $ 125,102,447.22 $ 112,933,872.13
Securities $ 30,021,382.36 $ 34,225,098.17
TOTAL $ 164,187,240.75 $ 155,595,139.95
Investments (book value) by fund category were:
December 31, 2016 March 31, 2017
General Fund $ 34,377,085.44 $ 38,562,312.51
Debt Service $ 11,024,088.89 $ 7,626,123.19
Water /Wastewater $ 14,859,069.17 $ 7,135,439.66
Special Revenues $ 5,123,881.15 $ 5,273,756.01
Capital Projects $ 78,569,676.61 $ 75,838,283.67
Internal Services $ 8,722,618.53 $ 8,760,908.19
Component Units $ 11,510,820.96 $ 12,398,316.72
TOTAL $ 164,187,240.75 $ 155,595,139.95
The Finance Committee reviewed this report on May 15, 2017. This report is presented for informational purposes. No Council action is required.
Attachment
1. Data Sheet
2. Investment Report
FUNDING
{X } NOT APPLICABLE
{ } Funds are available from Account #___________________________
{ } Requires Budget Amendment to transfer from Account #____________to Account # ___________________