Portfolio Summary 31-Dec-10

Similar documents
Portfolio Summary 31-Dec-11

Portfolio Summary 31-Mar-12

Performance Review May 17, 2018

2017 Investment Management Division Major Initiatives

Fund Performance Summary as of December 31, 2017

NCRS Fixed Income Portfolio June 30, 2013

UWINCO Investment Performance Quarterly Report Quarter Ended December 31, 2017

SAN JOAQUIN COUNTY EMPLOYEES' RETIREMENT ASSOCIATION

UWINCO Board Update and Investment Performance Quarterly Report Quarter Ended September 30, 2017

SCERA Investment Summary Periods Ending 06/30/2017

University of Washington

University of Washington

University of Illinois. Fourth Quarter 2016 Investment Update Board Report. March University of Illinois

STANDARD INVESTMENT REPORTS. Table of Contents

State Board of Administration of Florida. Major Mandate Review First Quarter 2013

Market Overview As of 4/30/2018

Market Overview As of 11/30/2018

1000G 1000G HY

FRESNO COUNTY EMPLOYEES RETIREMENT ASSOCIATION INVESTMENT MANAGER FEE STUDY

STANDARD INVESTMENT REPORTS. Table of Contents

Cash. Period Ending 06/30/2016 Period Ending 3/31/2016. Equity. Fixed Income. Other

Market Overview As of 8/31/2017

Market Overview As of 10/31/2017

Market Overview As of 1/31/2019

Stable Value Fund... Benchmark

Morningstar Advisor Workstation

University of South Carolina Development Foundation

Summit Strategies Group 8182 Maryland Avenue, 6th Floor St. Louis, Missouri Economic & Capital Market Review

457 Deferred Compensation Plan

Summit Strategies Group 8182 Maryland Avenue, 6th Floor St. Louis, Missouri Economic & Capital Market Review

Retirement System Summary As of September 30, 2016

Asset Allocation & Performance

Returns as of 12/31/2017 Month End YTD as of. Balanced Composite Index 0.80% 3.94% 13.93% 13.93% 7.72% 10.22% 7.26%

Endowment Funds Performance (Year ending June 30 th, 2013)

CFI Multi-Strategy Equity Fund, LLC Objective and Strategy March 31, 2015

City of Fort Walton Beach, Florida Beal Memorial Cemetery Perpetual Care Fund

Retirement System Pension Plan Investment Performance Review Quarter Ended June 30, 2014

Montana Board of Investments. CEM Benchmarking Results

State Board of Administration of Florida

2018 PUBLIC EQUITY ASSET CLASS REVIEW CITY OF FRESNO RETIREMENT SYSTEMS

Fiscal YTD. $341,964, Consolidated Investment Portfolio Dec-01

Endowment Funds Performance (Year ending June 30 th, 2014)

Quarterly Investment Review

TEMPLE UNIVERSITY POLICIES AND PROCEDURES MANUAL

TPF Balanced Fund December 31, 2017

BALANCED FUND UNITED METHODIST CHURCH FOUNDATION AS OF 12/31/2002. Asset Allocation ($000) Equity Fund Fixed Income Fund Total

This benchmarking report compares your cost and return performance to CEM's extensive pension database.

Semi-Annual Investment Performance Meeting & Conference Call. February 25, 2015 Dial-in number: Access code: #

6.6 % Gross 0.9% 11.9% 7.7 % -0.5 % 5.2 % 13.4% Some significant factors in the economy for November and into mid-december have been

Performance and Manager Review First Quarter 2012

Review of Pension Plans Performance (Period ending December 31 st, 2013)

Sacramento County Employees Retirement System Asset Summary As of September 30, 2005

Endowment Funds Performance (Year ending March 31st, 2012)

PALM TRAN, INC./ATU LOCAL 1577 PENSION FUND INVESTMENT PERFORMANCE PERIOD ENDING MARCH 31, 2011

EVESTMENT BREAKFAST SEMINAR

Investment Committee Quarterly Activity Report 4. FIXED INCOME

2. Investment Policies I. DEFINITIONS

THE ALTERNATIVES BASKET

Performance and Manager Review First Quarter 2011

Additional series available. Morningstar TM Rating. Funds in category. Equity style Fixed inc style. of fixed income allocation

City of Fort Walton Beach Beal Memorial Cemetery Perpetual Care Fund

TABLE OF CONTENTS SECTION. - Executive Summary. - Worksheet Summary. III - Private and Public Managers Compliance Representations

INVESTMENT POLICY STATEMENT TEXAS ENDOWMENT FUNDS

Specific financial information Q1 10

TARGET RETIREMENT 2020 FUND

INVESTMENT POLICY STATEMENT TEXAS ENDOWMENT FUNDS

University of South Carolina Foundations. Investment Policy Statement

Endowment & Similar Funds Investment Review September 2008

Third Quarter 2018 Earnings Presentation. October 31, 2018

Marquette Associates Market Environment

INVESTMENT PERFORMANCE ANALYSIS

Specific financial information Q3 08

Commitment to investment excellence

CFI Multi-Strategy Equity Fund, LLC Objective and Strategy

Board Investment Policy Investment Manager Monitoring and Communications Policy

Federal Money Market Fund (VMFXX)

85.3% 0.3% 3.3% 6.5% 0.5% 3.4% U.S. PENSION FUNDING UPDATE. U.S. corporate pension funding decreased by 0.3% in December 2017

Additional series available. Morningstar TM Rating. Funds in category 363. Fixed income % of fixed income allocation

Market Update: Broad Market Returns and Indicators

Additional series available. Morningstar TM Rating. Funds in category 321. Fixed income % of fixed income allocation

First Mutual Transportation Assurance Company. Finance Committee Presentation May 23, 2016

Endowment Funds Performance (Year ending Sept 30 th, 2014)

Portfolio Analysis as of

Sacramento County Employees Retirement System Asset Summary As of September 30, 2006

Additional series available. Morningstar TM Rating. Funds in category. Fixed income %

Your Fund Selection Guide

Rethink your income strategy

Sacramento County Employees Retirement System Asset Summary As of December 31, 2007

CEM ANNUAL U.S. DEFINED BENEFIT PENSION FUND SURVEY What gets measured gets managed for the year ended December 31, 2014

Franklin Global Absolute Return Bond (USD) Composite

2010 Annual Report of the Investment Committee

CUSIP SECURITY DESCRIPTION % of Total

Franklin Global Absolute Return Bond (USD) Composite

Important information on BlackRock U.S. Debt Index Fund

Emerging Markets Stocks Q STOCKS BONDS

State Universities Retirement System of Illinois (SURS) Investment Update

City of Fresno Retirement Systems

Knowledge & Insights Performance universe of pension managers pooled funds

Endowment Funds Performance (Year ending March 31 st, 2013)

University of South Carolina Foundations

Transcription:

Portfolio Summary Portfolio Return (NCRS) vs. Benchmark 13.1% 12.85% 12.41% 11.61% 1,496 12,68 Assets Under Management ($mil) $85.43 Billion as of December 31, 21 1,351 9,879 1,45 11,248 1,597 11,415 4.67% 4.55% 4.47% 4.46% 4.99% 4.78% 72,35 6,224 65,253 72,422 1.3% 1.5% 3 month Fiscal YTD 1 year 3 year 5 year 1 year June 8 June 9 June 1 Dec 1 NCRS Benchmark NCRS Cash Mgmt Program Other NCRS Asset Allocation MV ($mil) Current % Policy % Policy Range Global Equity $ 37,24 51.42% 48.5% 43.5% - 53.5% Fixed Income $ 25,723 35.52% 38.% 33.5% - 42.5% Real Estate $ 3,632 5.2% 6.% 5.% - 7.% Alternatives $ 3,716 5.13% 4.5% 3.5% - 5.% Private Equity $ 3,84 4.26% $ 632.87% Credit $ 1,429 1.97% 1.5% % - 5.% Inflation $ 682.94% 1.5% % - 5.% Total NCRS $ 72,422 1% 1% Real Estate Alternatives Fixed Income Credit Inflation Global Equity NCRS Asset Class Returns Month 3 Month Fiscal YTD Cal YTD 1 Yr 3 Yr 5 Yr 1 Yr Global Equity Custom Equity Benchmark Fixed Income Custom Fixed Income Benchmark Real Estate Custom Real Estate Benchmark Alternatives Custom Alternatives Benchmark Private Equity Custom Private Equity Benchmark Custom Hedge Fund Benchmark Credit Strategies Custom Credit Benchmark Inflation Portfolio Custom Inflation Benchmark 6.91% 9.98% 24.27% 15.24% 15.24% -2.78% 2.76% 3.2% 7.2% 1.37% 24.88% 14.75% 14.75% -3.19% 2.62% 2.35% -1.53% -1.98% 2.9% 9.45% 9.45% 7.94% 6.96% 7.9% -1.84% -2.8% 1.14% 9.1% 9.1% 6.81% 6.25% 6.68% 1.3% 4.28% 7.97%.29%.29% -14.17% -2.89% 2.23% 5.54% 5.54% 11.56% 8.44% 8.44% -9.44%.31% 5.26%.23% 1.47% 3.18% 5.94% 5.94% -2.32% 3.58% -1.85% 6.85% 8.86%.72% 1.98% 1.98% -.97% 4.18% 2.9%.26% 1.18% 3.11% 5.7% 5.7% -1.75% 4.97% -1.24% 9.64% 12.16% -.22% 13.46% 13.46% -4.7% 3.44% 2.64%.7% 2.92% 3.55% 6.9% 6.9% -2.26% 2.31% -.34% 1.2% 2.7% 4.13% 4.13% 4.79% 6.43% 6.38%.43% 4.39% 6.88% 15.89% 15.89% - - -.6% 1.82% 3.68% 7.5% 7.5% - - - -.1% 1.52% -19.68% -19.2% -19.2% - - -.74% 1.58% 3.% 4.39% 4.39% - - -

Portfolio Summary - Global Equity Fund Allocation (based on fund mandate) Dom. Small Cap 5.8% Dom. Mid Cap 6.9% Developed Int'l 27.9% Emerging Int'l 4.2% Frontier.5% Global 4.9% Int'l Small Cap 1.6% Dom. Large Cap 36.5% Cash/Transition 11.7% Style Allocation Strategy Allocation Cash/Transition 11.7% Core 49.1% Growth 23.4% Enhanced 2.3% Active 58.7% Value 15.9% Cash/Transition 11.7% Passive 27.3% Sector Allocation 25% 2% 15% 1% 5% 13.5% 1.8% 8.4% 6.8% 11.5% 9.5% 18.% 21.4% 11.3% 7.9% 7.6% 12.2% 1.2% 1.5% 15.6% 11.5% 5.5% 7.8% % Consumer Discretionary Consumer Staples Energy Financials Health Care Materials & Processing Producer Durables Technology Utilities Equity Portfolio MSCI AC World

Portfolio Summary - Fixed Income Allocation Core FI 94.5% Non-Core FI 5.5% Total Fixed Income Core Fixed Income Non-Core Fixed Income Custom Fixed Income Benchmark Returns Month 3 Month Fiscal YTD Cal YTD 1 Yr 3 Yr 5 Yr 1 Yr -1.53% -1.98% 2.9% 9.45% 9.45% 7.94% 6.96% 7.9% -1.69% -2.32% 1.72% 9.29% 9.29% 7.81% 6.98% 7.1% 1.9% 3.17% 7.76% 12.84% 12.84% 1.72% - - -1.84% -2.8% 1.14% 9.1% 9.1% 6.81% 6.25% 6.68% Core Fixed Income 5% Sector Allocation 4% 35.2% 4.% 37.6% 35.% 3% 26.3% 25.% 2% 1% %.%.%.%.%.9%.% Gov't (UST & Agency) Corporate RMBS Asset-backed CMBS Cash Portfolio Benchmark 4% 35% 3% 25% 2% 15% 1% 5% % 26.% 36.2% Treasury 36.% 28.8% Agency (Debt & MBS) Quality Allocation 2.5% 19.9% 1.7% 8.7% 5.8% 6.%.2%.4%.8%.% AAA AA A BBB High Yield Portfolio Benchmark Government (Treasury & Agency) Corporate Mortgage Total Portfolio Characteristics Avg. Coupon Yield to Maturity 6.11% 3.16% 6.28% 4.9% 5.15% 3.38% 5.87% 3.84% Duration 7.3 7.9 2.8 6.3

$ Millions Portfolio Summary - Private Equity 2, Private Equity Commitments by Vintage Year 1,5 1, 5 Pre 2 2 21 22 23 24 25 26 27 28 29 21 Pre-2 2 21 22 23 24 25 26 27 28 29 21 Total NCRS 14.41-5.86 31.2 7.27 12.95 2.9 2.51-1.33-1.7.55-17.79 -.58 3.25 # of Funds 12 2 4 8 2 3 11 21 13 17 3 1 97 Strategy Allocation (based on commitments) Geographic Allocation (based on valuation)* Buyout 42.4% Special Situations 16.1% Fund-of-Funds 25.6% Venture Capital 11.8% North America 71.5% Europe / UK 19.9% Pacific Rim 8.3% Growth Equity 4.1% Rest of World.1% South America.2% GICS Industry Allocation (based on valuation)* Healthcare 2.6% Industrials 14.2% Financials 16.4% Information Technology 14.7% Energy 6.5% Consumer Discretionary 16.% Consumer Staples 2.7% Utilities 1.8% Materials 4.5% Telecom Services 2.5% * as of 9/3/1

$ Millions Portfolio Summary - Real Estate 2, Private Real Estate Commitments by Vintage Year 1,5 1, 5 Pre 2 2 21 22 23 24 25 26 27 28 29 21 Pre-2 2 22 23 24 25 26 27 28 21 Total NCRS 6.95 21.62-46.62 16.91 7.41-7.84-13.14-1.85 13.75-1.13 1.93 # of Funds 14 3 1 3 4 14 19 1 6 5 79 Strategy Allocation (based on valuation) Geographic Allocation (based on valuation)* Valued-added 23.2% Opportunistic 37.9% North America 75.4% Europe 12.1% Core 38.3% Asia 11.5% Cash.6% South America 1.% Sector Allocation (based on valuation)* Office 21.6% Other 4.5% Residential 15.5% Multi-type 14.2% Retail 12.1% Lodging 12.3% Industrial 1.4% Timber 7.2% Land 2.2% REIT Composite FTSE/EPRA/NAREIT Global Securities Index * as of 9/3/1 Global REIT Returns Month 3 Month Fiscal YTD Cal YTD 1 Yr 3 Yr 5 Yr 1 Yr 6.1% 6.13% 25.8% 21.58% 21.58% -2.2% - - 6.3% 6.15% 25.73% 2.4% 2.4% -4.53% 2.88% 9.82%

$ Millions $ Millions Portfolio Summary - Credit, Inflation, & Credit Strategies Credit Commitments by Vintage Year Strategy Allocation (based on valuation) 1, 8 6 4 2 25 26 27 28 29 21 Structured Credit 25.% Distressed Debt 17.8% Bank Loans 15.9% Mezzanine 5.6% 35.8% 25 27 28 29 21 Total NCRS 1.99 11.5 1.6 16.57 17.89 11.4 # of Funds 1 1 3 1 3 9 Inflation Portfolio 8 Inflation Commitments by Vintage Year Strategy Allocation (based on valuation) 6 4 Commodities 14.9% Timber 52.3% 2 26 27 28 29 21 Energy 32.8% 26 27 28 29 21 Total NCRS -1.22-7.36 6.21 N/A 9.91-6.3 # of Funds 1 3 2 3 9 Fund Allocation Franklin Street 72.6% SCS 19.% Taconic.% DKR.1% BlackRock 6.7% Broyhill 1.6%

New Investments - previous 12 months Global Equity Fund Name Firm Name Commitment Closing Date* MCM Large Cap Passive Mellon Capital Management $1,824,, 4/1/21 MCM Mid Cap Passive Mellon Capital Management $61,, 4/1/21 Wellington Mid Cap Opportunities Wellington Management Company $795,, 4/9/21 BlackRock ACWI ex US IMI BlackRock $2,347,, 9/9/21 Mondrian International Small Cap Mondrian Investment Partners $25,, 9/9/21 Franklin Templeton International Small Cap Franklin Templeton $25,, 9/9/21 Private Equity Credit Suisse Innovation Fund Credit Suisse $23,, 2/23/21 Real Estate RREEF Global Opp Fund II, LLC Senior Notes RREEF $12,366,672 7/11/21 AG Asia Realty Fund II Angelo Gordon $5,, 7/3/21 AG Net Lease Realty Fund II Angelo Gordon $1,, 7/3/21 Shorenstein X Shorenstein Realty Investors $1,, 1/15/21 Crossharbor Institutional Partners II CrossHarbor Capital $15,, 12/23/21 Credit Strategies Inflation Portfolio AG GECC Public-Private Investment Fund (PPIP) Angelo Gordon $2,, 2/19/21 WLR IV PPIP Co-Invest WL Ross & Company $15,, 3/2/21 PAAMCO - Newport Burgundy PAAMCO $5,, 12/22/21 Energy Capital Partners II Energy Capital Partners $5,, 8/16/21 Sheridan Production Partners II Sheridan Production Partners $165,, 11/5/21 Gresham TAP Flex Gresham Investment Management $5,, 12/2/21 None * Closing date for Global Equity is the date account was funded