San Mateo County. Investment Portfolio Compliance Report. January 31, 2016

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San Mateo County Investment Portfolio Compliance Report January 31, 2016 PFM Asset Management LLC 50 California Street, Suite 2300 San Francisco, CA 94111 415-982-5544 www.pfm.com

Compliance Requirements Overview 1 Sector Fund Limitation Per Issuer Maturity Credit Limits In Compliance U.S. Treasury 100% 100% 7 years Full Faith & Credit Yes Government Agency/GSE 100% 40% 7 years AA or A-1 by two Yes Callable Agencies 25% 25% 7 years AA or A-1 by two Yes Commercial Paper 40% 5% Aggregate 270 days A-1 by two and A by one Yes Negotiable CDs 30% 5% Aggregate 5 years A-1 by two and A by one Yes BAs - Domestic 15% 5% Aggregate 180 days A-1 by two and A by one Yes - None in Portfolio BAs - Foreign 15% 5% Aggregate 180 days A-1 by two and A by one Yes - None in Portfolio Collateralized CDs 15% 5% Aggregate 1 year Insured/Collateralized Yes - None in Portfolio Asset Backed Securities 20% 5% Aggregate 5 years AAA by two Yes - None in Portfolio Corporate Securities 30% 5% Aggregate 5 years A by two Yes Repurchase Agreements 100% 50% 92 days A-1 by two Yes LAIF $50 million $50 million N/A None Yes Registered Warrants 100% 100% 5 years None Yes - None in Portfolio Mutual Funds 10% 5% Aggregate N/A A-1 or P-1 Yes - None in Portfolio Comments The portfolio complies with the California Government Code and the County of San Mateo s Investment Policy as of the date of the report. 1.See San Mateo County Investment Policy Statement Calendar Year 2015 for a complete description of Policy requirements. PFM Asset Management LLC 1

County Comments County comments: None PFM Asset Management LLC 2

Sector Allocations Sector Market Value 1 Sector Limit Current Allocation 2 In Compliance U.S. Treasury 427,885,909 100% 9.4% Yes Government Agency/GSE 2,318,224,425 100% 51.1% Yes Callable Agencies 470,477,517 25% 10.4% Yes Commercial Paper 319,681,127 40% 7.0% Yes Negotiable CDs 110,153,633 30% 2.4% Yes BAs - Domestic - 15% Yes - None in Portfolio BAs - Foreign - 15% Yes - None in Portfolio Collateralized CDs - 15% Yes - None in Portfolio Asset Backed Securities - 20% Yes - None in Portfolio Corporate Securities 856,971,636 30% 18.9% Yes Repurchase Agreements 452,608,356 100% 10.0% Yes LAIF 3 50,007,333 $50 million 1.1% Yes Registered Warrants - 100% Yes - None in Portfolio Mutual Funds - 10% Yes - None in Portfolio Totals 4,535,532,419 100.0% Sector Distribution Repurchase Agreements Corporate Securities 10.0% 18.9% Negotiable CDs 2.4% Commercial Paper 7.0% Government Agency/GSE 51.1% LAIF 3 1.1% U.S. Treasury 9.4% 1. Market values listed in this report are market values including accrued interest as of period end as reported by the County. 2. May not add to 100% due to rounding. Callable Agencies are included in the Government Agency/GSE total. 3. The LAIF amount was over $50 million at period end due to accrued interest. As the inital investment was within the $50 million limit, the County is in compliance with both LAIF and County Policy requirements. PFM Asset Management LLC 3

Maturity Limits Sector Market Value Maturity Limit Current Maximum In Compliance U.S. Treasury 427,885,909 7 years 4.9 years Yes Government Agency/GSE 2,318,224,425 7 years 4.8 years Yes Commercial Paper 319,681,127 270 days 162 days Yes Negotiable CDs 110,153,633 5 years 0.4 years Yes BAs - Domestic - 180 days Yes - None in Portfolio BAs - Foreign - 180 days Yes - None in Portfolio Collateralized CDs - 1 year Yes - None in Portfolio Asset Backed Securities - 5 years Yes - None in Portfolio Corporate Securities 856,971,636 5 years 4.7 years Yes Repurchase Agreements 452,608,356 92 days 1 day Yes LAIF 50,007,333 N/A 1 day Yes Registered Warrants - 5 years Yes - None in Portfolio Mutual Funds - N/A Yes - None in Portfolio Overall Portfolio WAM 4,535,532,419 3 years 1.14 years Yes $1,000 $946 Overall Portfolio Maturity Distribution $921 $800 $771 Millions $600 $400 $503 $391 $652 $263 $200 $0 Overnight 1 Day - 3 Months 3-6 Months 6-12 Months $89 $0 $0 $0 1-2 Years 2-3 Years 3-4 Years 4-5 Years 5-6 Years 6-7 Years Over 7 Years PFM Asset Management LLC 4

Issuer Compliance Issuer Total Current Issuer Allocation 1 Issuer Limit Compliant? U.S. Treasury 427,885,909 9.4% 100% Yes FHLB 1,212,385,271 26.7% 40% Yes FHLMC 576,096,282 12.7% 40% Yes FNMA 400,891,447 8.8% 40% Yes FFCB 128,851,425 2.8% 40% Yes Repurchase Agreement 452,608,356 10.0% 50% Yes LAIF 2 50,007,333 1.1% 1.1% Yes Wells Fargo 150,173,671 3.3% 5% Yes Exxon Mobil Corp. 147,146,651 3.2% 5% Yes Toyota Motor Credit 94,843,107 2.1% 5% Yes Toronto-Dominion Bank 87,059,574 1.9% 5% Yes Apple Inc. 79,951,286 1.8% 5% Yes Royal Bank of Canada 75,338,114 1.7% 5% Yes Chevron 74,920,895 1.7% 5% Yes General Electric Capital 70,139,904 1.5% 5% Yes Bank of Tokyo-Mitsubishi UFJ 69,964,279 1.5% 5% Yes International Business Machines 56,106,493 1.2% 5% Yes Bank of Nova Scotia 54,977,611 1.2% 5% Yes Berkshire Hathaway 43,136,743 1.0% 5% Yes BNP Paribas 39,991,486 0.9% 5% Yes Rabobank 32,961,348 0.7% 5% Yes Bank of New York Mellon 25,037,947 0.6% 5% Yes Oracle 24,987,447 0.6% 5% Yes 3M 24,807,488 0.5% 5% Yes US Bank 22,049,726 0.5% 5% Yes Bank of Montreal 21,995,324 0.5% 5% Yes Walt Disney Company 15,020,315 0.3% 5% Yes Merck & Co. 10,019,130 0.2% 5% Yes Coca-Cola 10,008,634 0.2% 5% Yes Cisco Systems 9,992,105 0.2% 5% Yes Procter & Gamble 9,015,403 0.2% 5% Yes Johnson & Johnson 8,579,491 0.2% 5% Yes Wal-Mart Stores 7,014,289 0.2% 5% Yes Microsoft 6,529,661 0.1% 5% Yes Eli Lilly & Co. 5,036,512 0.1% 5% Yes Home Depot 5,014,103 0.1% 5% Yes PNC Bank 4,987,660 0.1% 5% Yes 4,535,532,419 100% 1. May not add to 100% due to rounding. 2. The LAIF amount was over $50 million at period end due to accrued interest. As the inital investment was within the $50 million limit, the County is in compliance with both LAIF and County Policy requirements. PFM Asset Management LLC 5

Notes The purpose of this report is to verify the accuracy of the County s portfolio holdings information and verify the portfolio s compliance with the California Government Code and County s Investment Policy as of the date of the report. The report was prepared using the month-end portfolio holdings and market value information provided by the Treasurer s office. Percentages listed in this report were calculated using market values, including accrued interest, as of month-end. Using the CUSIPs provided by the County, issuer information and credit ratings were verified on Bloomberg for compliance purposes. This report is for the purposes indicated above and it is not intended to provide specific investment advice or recommendations. PFM Asset Management LLC 6