Laserfiche WebLink
Holdings Report <br />City of San Leandro -Account #460 <br />CUSIP Security Description Par Value/Units Purchase Date <br />Book Yield <br />Cost Value <br />Book Value <br />Mkt Price <br />Mkt YTM <br />Market Value <br />Accrued Int. <br />% of Port. <br />Gain/Loss <br />Moody/S&P <br />Fitch <br />Maturity <br />Duration <br />91324PEP3 United Health Group Inc Callable Note Cont 1/15/2028 <br />5.250% Due 02/15/2028 <br />1,000,000.00 07/18/2023 <br />4.52% <br />1,029,460.00 <br />1,028,148.67 <br />100.17 <br />5.20% <br />1,001,699.00 <br />6,708.33 <br />0.55% <br />(26,449.67) <br />A2 / A+ <br />A <br />4.38 <br />3.84 <br />61747YER2 Morgan Stanley Callable Note Cont 4/20/2027 <br />4.210% Due 04/20/2028 <br />1,500,000.00 07/06/2023 <br />5.68% <br />1,423,620.00 <br />1,427,250.89 <br />94.03 <br />5.97% <br />1,410,421.50 <br />28,242.08 <br />0.78% <br />(16,829.39) <br />A1 / A- <br />A+ <br />4.56 <br />3.97 <br />46647PAF3 JP Morgan Chase & Co Callable Note 2X 5/1/2027 <br />3.540% Due 05/01/2028 <br />1,000,000.00 07/18/2023 <br />5.75% <br />938,600.00 <br />941,165.66 <br />91.95 <br />6.07% <br />919,495.00 <br />14,750.00 <br />0.51% <br />(21,670.66) <br />A1 / A- <br />AA- <br />4.59 <br />3.24 <br />58933YBH7 Merck & Co Callable Note Cont 4/17/2028 <br />4.050% Due 05/17/2028 <br />1,500,000.00 Various <br />4.07% <br />1,498,356.40 <br />1,498,479.65 <br />96.23 <br />4.97% <br />1,443,393.00 <br />22,612.51 <br />0.79% <br />(55,086.65) <br />A1 / A+ <br />NR <br />4.63 <br />4.09 <br />06406RBG1 Bank of NY Mellon Corp Callable Note Cont 6/13/2027 <br />3.992% Due 06/13/2028 <br />1,500,000.00 07/06/2023 <br />5.70% <br />1,421,775.00 <br />1,425,382.04 <br />94.27 <br />5.73% <br />1,414,123.50 <br />17,964.00 <br />0.78% <br />(11,258.54) <br />A1 / A <br />AA- <br />4.71 <br />3.33 <br />06051GKW8 Bank of America Corp Callable Note Cont 7/22/2027 <br />4.948% Due 07/22/2028 <br />750,000.00 09/06/2023 <br />6.11% <br />728,677.50 <br />728,953.17 <br />96.09 <br />6.11% <br />720,647.25 <br />7,112.75 <br />0.39% <br />(8,305.92) <br />A1 / A- <br />AA- <br />4.81 <br />3.38 <br />TOTAL Corporate 44,845,000.00 3.67% <br />44,032,943.70 <br />44,167,674.31 5.63% <br />42,857,989.32 <br />349,262.29 <br />23.42% <br />(1,309,684.99) <br />A1 / A <br />A+ <br />2.47 <br />2.12 <br />Money Market Fund <br />60934N104 Federated Investors Government Obligations Fund 6,253,616.54 Various <br />5.18% <br />6,253,616.54 <br />6,253,616.54 <br />1.00 <br />5.18% <br />6,253,616.54 <br />0.00 <br />3.39% <br />0.00 <br />Aaa / AAA <br />AAA <br />0.00 <br />0.00 <br />TOTAL Money Market Fund 6,253,616.54 5.18% <br />6,253,616.54 <br />6,253,616.54 5.18% <br />6,253,616.54 <br />0.00 <br />3.39% <br />0.00 <br />Aaa / AAA <br />AAA <br />0.00 <br />0.00 <br />Negotiable CD <br />96130ATR9 Westpac Banking Corp NY Yankee CD <br />5.300% Due 12/08/2023 <br />3,000,000.00 05/17/2023 <br />5.30% <br />2,999,896.98 <br />2,999,965.66 <br />99.91 <br />5.67% <br />2,997,201.00 <br />63,600.00 <br />1.66% <br />(2,764.66) <br />P-1 / A-1+ <br />F-1 <br />0.19 <br />0.18 <br />TOTAL Negotiable CD 3,000,000.00 5.30% <br />2,999,896.98 <br />2,999,965.66 5.67% <br />2,997,201.00 <br />63,600.00 <br />1.66% <br />(2,764.66) <br />Aaa / AAA <br />AA <br />0.19 <br />0.18 <br />As of September 30, 2023 <br />35