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HomeMy WebLinkAboutItem 09 - Receive and File Quarterly Report of Investments as of September 30, 2025 Finance and Management Services www.santa-ana.org/finance Item # 9 City of Santa Ana 20 Civic Center Plaza, Santa Ana, CA 92701 Staff Report December 2, 2025 TOPIC: Periodic Quarterly Report of Investments as of September 30, 2025 AGENDA TITLE Receive and File Quarterly Report of Investments as of September 30, 2025 RECOMMENDED ACTION Receive and file. GOVERNMENT CODE §84308 APPLIES: No DISCUSSION In accordance with the City’s Statement of Investment Policy, the Finance Management Services Agency (FMSA) shall render to the City Council and City Manager an Investment Report (Report) containing detailed information on all cash and security investments of the City. The City Manager and City Council receive the reports on a monthly basis, within 45 days following month-end, in compliance with Government Code section 53646. Quarterly reports appear on regular City Council public meeting agendas for formal approval. Each month, staff performs an expenditure analysis to assure the City can meet its budgeted expenditures for the following six months. As of September 30, 2025, this analysis affirms that the City has adequate cash reserves necessary to meet its obligations for the next six months. All the information provided is in compliance with state law and the City of Santa Ana July 1, 2025 – June 30, 2026 Statement of Investment Policy. The Investment Report (Exhibit 1) attached accurately represents all pooled investments held for the City as of September 30, 2025. ENVIRONMENTAL IMPACT There is no environmental impact associated with this action. FISCAL IMPACT There is no fiscal impact associated with this action. Quarterly Report of Investments December 2, 2025 Page 2 5 4 6 7 EXHIBIT(S) 1. Investment Report Submitted By: Alexander Trinidad, Executive Director – Finance and Management Services Agency Approved By: Alvaro Nuñez, City Manager City of Santa Ana Monthly Investment Report September 30, 2025 EXHIBIT 1 Your Portfolio Principal Cost LAIF/CLASS $46,143,373.22 Cash $19,959,388.28 BNY Custody Account $298,395,518.41 Total Portfolio $364,498,279.91 Restricted Cash $84,314,566.67 Your Portfolio Weighted Average Maturity 2.26 years Weighted Average Yield 3.35% Your Asset Allocation Your Maturity Distribution 66,102,762 64,915,758 65,093,760 36,678,109 70,897,055 60,810,837 2.92%2.36%2.18%4.26%4.36%4.26% - 10,000,000 20,000,000 30,000,000 40,000,000 50,000,000 60,000,000 70,000,000 80,000,000 Overnight Funds 0-1 year 1-2 years 2-3 years 3-4 years 4-5 years 27% 2% 7% 18%4% 10% 6% 13% 8%5%US Government Agencies Negotiable CDs US Treasuries Corporate Bonds Municipal Bonds Mortgage Backed Securities Asset Backed Securities LAIF/CLASS Cash Commercial Paper Current Portfolio City of Santa Ana portfolio as of 9/30/2025 YIELD AND INTEREST INCOME INFORMATION IS ANNUALIZED. ALL YIELD INFORMATION IS SHOWN GROSS OF ANY ADVISORY AND CUSTODY FEES AND IS BASED ON YIELD TO MATURITY AT COST. PAST PERFORMANCE IS NOT A GUARANTEE OF FUTURE RESULTS. MONTHLY RECONCILIATION WITH BNY Beginning Book Value 298,430,729.38 Contributions Withdrawals (1,000,000.00) Realized Gains/Losses 31,812.55 Purchased Interest (6,017.47) Gross Interest Earnings 938,993.95 Ending Book Value 298,395,518.41 PORTFOLIO CHARACTERISTICS Portfolio Yield to Maturity 3.44% Portfolio Effective Duration 2.05 yrs Weighted Average Maturity 2.54 yrs Weighted Average Life 2.13 yrs PROJECTED MONTHLY INCOME SCHEDULE SECTOR ALLOCATION MATURITY DISTRIBUTION CREDIT QUALITY Page 3 of 16 City of Santa Ana PORTFOLIO SUMMARY - PORTFOLIO HELD AT BNY As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating Cash and Cash Equivalents 00391CASH Local Agency Investment Fund- LAIFCITY 9/30/2025 9/30/2025 $20,711,061.58 $20,711,061.58 $20,711,061.58 4.19%0.003 0.003 $1.00 $20,711,061.58 $0.00 5.68% 00392CASH California CLASS 9/30/2025 9/30/2025 $6,243,810.56 $6,243,810.56 $6,243,810.56 4.19%0.003 0.003 $1.00 $6,243,810.56 $0.00 1.71% 00393CASH Local Agency Investment Fund- LAIF ARPA 9/30/2025 9/30/2025 $19,188,501.08 $19,188,501.08 $19,188,501.08 4.19%0.003 0.003 $1.00 $19,188,501.08 $0.00 5.26% 00394CASH City of Santa Ana- Petty Cash 9/30/2025 9/30/2025 $79,625.00 $79,625.00 $79,625.00 0.00%0.003 0.003 $1.00 $79,625.00 $0.00 0.02% 00396CASH JPMorgan Chase- WORKERS COMP 37983 9/30/2025 9/30/2025 $1,347,212.91 $1,347,212.91 $1,347,212.91 0.00%0.003 0.003 $1.00 $1,347,212.91 $0.00 0.37% 00397CASH JPMorgan Chase- GENERAL LIABILITY 38130 9/30/2025 9/30/2025 $1,771,040.42 $1,771,040.42 $1,771,040.42 0.00%0.003 0.003 $1.00 $1,771,040.42 $0.00 0.49% 00402CASH JPMorgan Chase- GENERAL 9500 9/30/2025 9/30/2025 $16,761,509.95 $16,761,509.95 $16,761,509.95 0.00%0.003 0.003 $1.00 $16,761,509.95 $0.00 4.60% X9USDDTP3 Dreyfus Treasury Money Market Fund 9/30/2025 9/30/2025 $10,781,258.37 $10,781,258.37 $10,781,258.37 4.13%0.003 0.003 $1.00 $10,781,258.37 $0.00 2.96% AAAm SubTotal $76,884,019.87 $76,884,019.87 $76,884,019.87 3.09%$76,884,019.87 $0.00 21.09% Agency Bond 3136G45Q2 FNMA 0.530% 10/28/2025 10/28/2020 10/28/2020 $6,000,000.00 $6,000,000.00 $6,000,000.00 0.53%0.077 0.078 $99.71 $5,982,720.00 ($17,280.00)1.64%Aaa AA+ 3130ANFU9 FHLB 0.850% 07/29/2026 7/29/2021 7/29/2021 $5,000,000.00 $5,000,000.00 $5,000,000.00 0.85%0.827 0.828 $97.38 $4,868,750.00 ($131,250.00)1.34%Aaa AA+ 3133EM2C5 FFCB 0.710% 08/10/2026 8/10/2021 8/10/2021 $6,000,000.00 $6,000,000.00 $6,000,000.00 0.71%0.860 0.859 $97.21 $5,832,540.00 ($167,460.00)1.60%Aaa AA+ 3130ANQ78 FHLB 0.900% 08/27/2026 8/27/2021 8/27/2021 $6,000,000.00 $6,000,000.00 $6,000,000.00 0.90%0.907 0.906 $97.33 $5,839,584.00 ($160,416.00)1.60%Aaa AA+ 3130AP3E3 FHLB 0.820% 09/30/2026 9/30/2021 9/30/2021 $5,000,000.00 $5,000,000.00 $5,000,000.00 0.82%1.000 0.998 $96.76 $4,837,750.00 ($162,250.00)1.33%Aaa AA+ 3130APB79 FHLB 1.000% 09/30/2026 9/30/2021 9/30/2021 $5,000,000.00 $5,000,000.00 $5,000,000.00 1.00%1.000 0.997 $97.29 $4,864,450.00 ($135,550.00)1.33%Aaa AA+ Page 4 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating 3130APB46 FHLB 0.950% 10/13/2026 10/13/2021 10/13/2021 $10,000,000.00 $10,000,000.00 $10,000,000.00 0.95%1.036 1.029 $96.98 $9,698,200.00 ($301,800.00)2.66%Aaa AA+ 3130APQB4 FHLB 1.500% 11/23/2026 11/23/2021 11/23/2021 $5,000,000.00 $5,000,000.00 $5,000,000.00 1.50%1.148 1.136 $97.15 $4,857,650.00 ($142,350.00)1.33%Aaa AA+ 3130APVC6 FHLB 1.375% 12/01/2026 12/14/2021 12/14/2021 $5,000,000.00 $4,997,500.00 $4,997,500.00 1.40%1.170 1.159 $96.96 $4,848,150.00 ($149,350.00)1.33%Aaa AA+ 3130AQAB9 FHLB 1.625% 12/30/2026 12/30/2021 12/30/2021 $3,750,000.00 $3,750,000.00 $3,750,000.00 1.63%1.249 1.238 $97.20 $3,644,925.00 ($105,075.00)1.00%Aaa AA+ 3130AQNR0 FHLB 1.750% 01/27/2027 1/27/2022 1/27/2022 $3,000,000.00 $3,000,000.00 $3,000,000.00 1.75%1.326 1.312 $97.14 $2,914,098.00 ($85,902.00)0.80%Aaa AA+ 3130AQKM4 FHLB 1.750% 01/28/2027 1/28/2022 1/28/2022 $1,500,000.00 $1,500,000.00 $1,500,000.00 1.75%1.329 1.315 $97.12 $1,456,785.00 ($43,215.00)0.40%Aaa AA+ 3130AQSA2 FHLB 1.830% 02/10/2027 2/10/2022 2/10/2022 $5,000,000.00 $5,000,000.00 $5,000,000.00 1.83%1.364 1.347 $97.16 $4,858,000.00 ($142,000.00)1.33%Aaa AA+ 3133ENPB0 FFCB 2.180% 02/16/2027 2/16/2022 2/16/2022 $3,500,000.00 $3,500,000.00 $3,500,000.00 2.18%1.381 1.361 $97.57 $3,414,985.00 ($85,015.00)0.94%Aaa AA+ 3130AQW33 FHLB 2.020% 02/24/2027 2/24/2022 2/24/2022 $5,000,000.00 $5,000,000.00 $5,000,000.00 2.02%1.403 1.385 $97.34 $4,867,100.00 ($132,900.00)1.34%Aaa AA+ 3130AQYA5 FHLB 2.250% 02/24/2027 2/28/2022 2/28/2022 $1,500,000.00 $1,500,000.00 $1,500,000.00 2.25%1.403 1.383 $97.67 $1,465,087.50 ($34,912.50)0.40%Aaa AA+ 3130ARC82 FHLB 2.100% 03/29/2027 3/29/2022 3/29/2022 $3,000,000.00 $3,000,000.00 $3,000,000.00 2.10%1.493 1.481 $97.49 $2,924,550.00 ($75,450.00)0.80%Aaa AA+ 3133ENUH1 FFCB 3.330% 04/12/2027 4/12/2022 4/12/2022 $2,000,000.00 $2,000,000.00 $2,000,000.00 3.33%1.532 1.484 $99.03 $1,980,600.00 ($19,400.00)0.54%Aaa AA+ 3133ENVV9 FFCB 3.630% 05/03/2027 5/3/2022 5/3/2022 $3,000,000.00 $3,000,000.00 $3,000,000.00 3.63%1.589 1.539 $99.33 $2,979,870.00 ($20,130.00)0.82%Aaa AA+ 3133ENUR9 FFCB 3.700% 04/18/2029 7/25/2024 7/26/2024 $5,725,000.00 $5,556,742.25 $5,556,742.25 4.39%3.551 3.302 $98.48 $5,637,808.25 $81,066.00 1.55%Aaa AA+ 3130B1BC0 FHLB 4.625% 06/08/2029 7/22/2024 7/23/2024 $2,950,000.00 $3,001,300.50 $3,001,300.50 4.22%3.690 3.392 $103.00 $3,038,618.00 $37,317.50 0.83%Aaa AA+ 880591FE7 TNNLL 3.875% 08/01/2030 8/14/2025 8/15/2025 $6,000,000.00 $5,990,280.00 $4,520.83 $5,994,800.83 3.91%4.838 4.433 $100.30 $6,017,952.00 $27,672.00 1.65%Aaa AA+ SubTotal $98,925,000.00 $98,795,822.75 $4,520.83 $98,800,343.58 1.82%$96,830,172.75 ($1,965,650.00)26.57% Page 5 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating Asset-backed Security 437918AC9 Honda Auto Receivables 2024-1 Owner Trust 5.210% 08/15/2028 11/4/2024 11/5/2024 $6,080,100.44 $6,571,755.40 $6,571,755.40 4.55%2.877 1.418 $107.83 $6,556,061.86 ($15,693.54)1.80%Aaa AAA 14041NGE5 Capital One Multi- Asset Execution Trust 3.920% 09/17/2029 11/12/2024 11/13/2024 $5,000,000.00 $4,911,718.75 $4,911,718.75 4.63%3.967 0.423 $100.03 $5,001,300.00 $89,581.25 1.37% AAA 43814VAC1 HONDA AUTO RECEIVABLES 2025-1 A-3 20290921 4.57000 2/4/2025 2/11/2025 $2,000,000.00 $1,999,938.40 $1,999,938.40 4.62%3.978 1.638 $101.07 $2,021,314.00 $21,375.60 0.55% AAA 096924AD7 BMW Vehicle Owner Trust 2025-A 4.560% 09/25/2029 2/4/2025 2/12/2025 $4,350,000.00 $4,349,571.52 $4,349,571.52 4.61%3.989 1.658 $100.88 $4,388,284.35 $38,712.83 1.20%Aaa AAA 02582JKM1 American Express Credit Account Master Trust 4.560% 12/17/2029 2/4/2025 2/11/2025 $4,000,000.00 $3,999,111.60 $3,999,111.60 4.61%4.216 2.338 $101.35 $4,054,096.00 $54,984.40 1.11% AAA SubTotal $21,430,100.44 $21,832,095.67 $21,832,095.67 4.60%$22,021,056.21 $188,960.54 6.04% Commercial Paper 22533UEB5 Credit Agricole Corporate and Investment Bank 05/11/2026 8/14/2025 8/14/2025 $10,000,000.00 $9,700,000.00 $9,700,000.00 4.12%0.611 0.619 $97.52 $9,752,220.00 $52,220.00 2.68%P-1 A-1 62479MEB5 MUFG Bank, Ltd. 05/11/2026 8/14/2025 8/14/2025 $10,000,000.00 $9,698,500.00 $9,698,500.00 4.15%0.611 0.619 $97.51 $9,751,280.00 $52,780.00 2.68%P-1 A-1 SubTotal $20,000,000.00 $19,398,500.00 $19,398,500.00 4.13%$19,503,500.00 $105,000.00 5.35% Corporate Bond 24422EXV6 John Deere Capital Corporation 4.200% 07/15/2027 9/3/2024 9/6/2024 $6,000,000.00 $6,006,960.00 $6,006,960.00 4.16%1.789 1.731 $100.61 $6,036,780.00 $29,820.00 1.66%A1 A 48128GU99 JPMorgan Chase & Co. 1.250% 07/31/2027 10/2/2024 10/3/2024 $4,500,000.00 $4,119,300.00 $4,119,300.00 4.47%1.833 1.814 $93.91 $4,225,770.00 $106,470.00 1.16%A1 A Page 6 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating 478160DH4 Johnson & Johnson 4.550% 03/01/2028 2/18/2025 2/20/2025 $5,000,000.00 $5,000,200.00 $5,000,200.00 4.55%2.419 2.312 $101.86 $5,093,115.00 $92,915.00 1.40%Aaa AAA 14913UAY6 Caterpillar Financial Services Corporation 4.400% 03/03/2028 8/14/2025 8/15/2025 $5,000,000.00 $5,051,550.00 $5,051,550.00 3.97%2.425 2.320 $101.02 $5,051,200.00 ($350.00)1.39%A2 931142FB4 Walmart Inc. 3.900% 04/15/2028 9/17/2024 9/18/2024 $5,625,000.00 $5,673,262.50 $5,673,262.50 3.64%2.542 2.402 $100.38 $5,646,150.00 ($27,112.50)1.55%Aa2 AA 053015AG8 Automatic Data Processing, Inc. 1.700% 05/15/2028 8/14/2025 8/15/2025 $5,000,000.00 $4,721,900.00 $21,250.00 $4,743,150.00 3.85%2.625 2.560 $94.67 $4,733,255.00 $11,355.00 1.30%Aa3 AA- 437076BW1 Home Depot, Inc. , The 3.900% 12/06/2028 4/22/2025 4/23/2025 $5,000,000.00 $4,941,500.00 $4,941,500.00 4.25%3.186 2.989 $99.99 $4,999,275.00 $57,775.00 1.37%A2 A 89236TLL7 Toyota Motor Credit Corporation 4.650% 01/05/2029 8/14/2025 8/15/2025 $5,000,000.00 $5,086,600.00 $25,833.33 $5,112,433.33 4.10%3.268 3.037 $101.78 $5,089,100.00 $2,500.00 1.40%A1 A+ 89236TMF9 Toyota Motor Credit Corporation 5.050% 05/16/2029 7/24/2024 7/25/2024 $4,000,000.00 $4,058,560.00 $4,058,560.00 4.71%3.627 3.306 $103.21 $4,128,360.00 $69,800.00 1.13%A1 A+ 713448FX1 PepsiCo, Inc. 4.500% 07/17/2029 7/22/2024 7/23/2024 $3,000,000.00 $2,993,100.00 $2,993,100.00 4.55%3.797 3.506 $101.80 $3,054,000.00 $60,900.00 0.84%A1 A+ 713448GB8 PepsiCo, Inc. 4.600% 02/07/2030 2/6/2025 2/7/2025 $3,000,000.00 $2,992,980.00 $2,992,980.00 4.65%4.359 3.974 $102.16 $3,064,725.00 $71,745.00 0.84%A1 A+ 478160DJ0 Johnson & Johnson 4.700% 03/01/2030 2/19/2025 3/3/2025 $4,500,000.00 $4,507,695.00 $4,507,695.00 4.66%4.419 4.035 $103.04 $4,636,755.00 $129,060.00 1.27%Aaa AAA 037833DU1 Apple Inc. 1.650% 05/11/2030 6/25/2025 6/26/2025 $6,000,000.00 $5,346,180.00 $12,375.00 $5,358,555.00 4.14%4.614 4.421 $90.33 $5,419,680.00 $73,500.00 1.49%Aaa AA+ 023135BS4 Amazon.com, Inc. 1.500% 06/03/2030 6/24/2025 6/25/2025 $5,000,000.00 $4,405,500.00 $4,583.34 $4,410,083.34 4.19%4.677 4.498 $89.48 $4,474,150.00 $68,650.00 1.23%A1 AA SubTotal $66,625,000.00 $64,905,287.50 $64,041.67 $64,969,329.17 4.24%$65,652,315.00 $747,027.50 18.01% Mortgage-backed Security (Commercial) 3132XFMR6 Federal Home Loan Mortgage Corporation 4.340% 08/01/2028 7/31/2024 8/5/2024 $5,500,000.00 $5,463,261.72 $5,463,261.72 4.57%2.838 1.532 $100.69 $5,538,181.00 $74,919.28 1.52%Aaa AA+ Page 7 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating 3132XGZG4 Federal Home Loan Mortgage Corporation 4.750% 12/01/2028 5/29/2025 6/3/2025 $1,700,000.00 $1,703,718.75 $1,703,718.75 4.70%3.173 1.699 $101.25 $1,721,272.10 $17,553.35 0.47%Aaa AA+ 3132XKTM9 Federal Home Loan Mortgage Corporation 4.100% 07/01/2029 5/14/2025 5/19/2025 $3,865,000.00 $3,789,360.74 $3,789,360.74 4.65%3.753 1.981 $99.59 $3,849,095.53 $59,734.79 1.06%Aaa AA+ 3137HFF59 Federal Home Loan Mortgage Corporation 4.618% 07/25/2029 8/13/2024 8/22/2024 $2,400,000.00 $2,441,937.60 $2,441,937.60 4.19%3.819 2.455 $101.84 $2,444,260.80 $2,323.20 0.67%Aaa AA+ 3140NWBC8 Federal National Mortgage Association, Inc. 4.080% 09/01/2029 10/7/2024 10/10/2024 $6,000,000.00 $5,941,406.25 $5,941,406.25 4.34%3.923 2.050 $100.00 $6,000,282.00 $58,875.75 1.65%Aaa AA+ 3132XKWE3 Federal Home Loan Mortgage Corporation 4.000% 10/01/2029 1/24/2025 1/29/2025 $3,725,000.00 $3,608,593.75 $3,608,593.75 4.78%4.005 2.089 $99.71 $3,714,294.35 $105,700.60 1.02%Aaa AA+ 3132XKVZ7 Federal Home Loan Mortgage Corporation 4.550% 10/01/2029 8/13/2025 8/18/2025 $3,068,000.00 $3,093,886.25 $3,093,886.25 4.35%4.005 2.096 $101.05 $3,100,327.52 $6,441.27 0.85%Aaa AA+ 3132XKXN2 Federal Home Loan Mortgage Corporation 4.500% 11/01/2029 8/13/2025 8/18/2025 $5,000,000.00 $5,031,835.94 $5,031,835.94 4.36%4.090 2.124 $100.84 $5,041,780.00 $9,944.06 1.38%Aaa AA+ 3137HJ5Y9 Federal Home Loan Mortgage Corporation 4.700% 11/25/2029 1/23/2025 1/30/2025 $2,000,000.00 $1,993,510.00 $1,993,510.00 4.74%4.156 2.371 $102.21 $2,044,204.00 $50,694.00 0.56%Aaa AA+ 3140NW7A7 Federal National Mortgage Association, Inc. 4.515% 12/01/2029 12/18/2024 12/27/2024 $3,000,000.00 $2,981,250.00 $2,981,250.00 4.70%4.173 2.175 $101.46 $3,043,743.00 $62,493.00 0.84%Aaa AA+ 3137HN6B9 Federal Home Loan Mortgage Corporation 4.421% 05/25/2030 9/23/2025 9/29/2025 $1,750,000.00 $1,776,195.75 $6,017.47 $1,782,213.22 3.64%4.652 2.370 $101.31 $1,773,003.75 ($3,192.00)0.49%Aaa AA+ SubTotal $38,008,000.00 $37,824,956.75 $6,017.47 $37,830,974.22 4.47%$38,270,444.05 $445,487.30 10.50% Page 8 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating Municipal Bond 13063DC48 California, State of 1.700% 02/01/2028 7/25/2024 7/26/2024 $3,120,000.00 $2,853,302.40 $2,853,302.40 4.35%2.340 2.293 $95.16 $2,969,035.68 $115,733.28 0.81%Aa2 AA- 79773KPC2 San Francisco, City & County of 4.670% 06/15/2028 1/15/2025 1/30/2025 $1,335,000.00 $1,342,876.50 $1,342,876.50 4.48%2.710 2.545 $102.32 $1,366,029.41 $23,152.91 0.37%Aa1 AA+ 283062DS3 El Dorado Irrigation District Financing Corporation 2.055% 03/01/2029 7/30/2024 8/1/2024 $2,500,000.00 $2,260,300.00 $2,260,300.00 4.39%3.419 3.310 $93.85 $2,346,315.00 $86,015.00 0.64%Aa3 AA- 79773KPD0 San Francisco, City & County of 4.800% 06/15/2029 1/15/2025 1/30/2025 $4,015,000.00 $4,045,875.35 $4,045,875.35 4.60%3.710 3.402 $103.43 $4,152,714.50 $106,839.15 1.14%Aa1 AA+ 13063EGT7 California, State of 4.500% 08/01/2029 11/5/2024 11/6/2024 $4,075,000.00 $4,092,685.50 $4,092,685.50 4.40%3.838 3.545 $102.01 $4,156,858.60 $64,173.10 1.14%Aa2 AA- SubTotal $15,045,000.00 $14,595,039.75 $14,595,039.75 4.45%$14,990,953.19 $395,913.44 4.11% Negotiable Certificate of Deposit 39573LCC0 Greenstate Credit Union 0.900% 11/24/2025 11/23/2021 11/23/2021 $248,000.00 $248,000.00 $248,000.00 0.89%0.151 0.151 $99.36 $246,408.58 ($1,591.42)0.07% 38149MR47 Goldman Sachs Bank USA Holdings LLC 1.000% 12/22/2025 12/22/2021 12/22/2021 $248,000.00 $248,000.00 $248,000.00 0.99%0.227 0.227 $99.07 $245,691.86 ($2,308.14)0.07% 06417NF73 Bank OZK 0.600% 05/12/2026 11/12/2021 11/12/2021 $248,000.00 $248,000.00 $248,000.00 0.60%0.614 0.613 $97.33 $241,373.69 ($6,626.31)0.07% 02568KAJ4 Luminate Bank 0.700% 05/27/2026 11/26/2021 11/26/2021 $248,000.00 $248,000.00 $248,000.00 0.69%0.655 0.653 $97.22 $241,108.33 ($6,891.67)0.07% 45776NEN2 Insbank 0.900% 06/19/2026 12/20/2021 12/20/2021 $248,000.00 $248,000.00 $248,000.00 0.89%0.718 0.716 $97.12 $240,848.18 ($7,151.82)0.07% 15721UET2 CFBank, National Association 0.850% 07/10/2026 11/10/2021 11/10/2021 $248,000.00 $248,000.00 $248,000.00 0.84%0.775 0.773 $96.86 $240,213.30 ($7,786.70)0.07% 292079AR1 Empire State Bank 0.900% 07/13/2026 11/12/2021 11/12/2021 $248,000.00 $248,000.00 $248,000.00 0.89%0.784 0.780 $96.94 $240,418.14 ($7,581.86)0.07% 549104ZS9 Luana Savings Bank 0.600% 11/05/2026 11/5/2021 11/5/2021 $248,000.00 $248,000.00 $248,000.00 0.59%1.099 1.094 $95.45 $236,726.42 ($11,273.58)0.06% Page 9 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating 87165FD76 Synchrony Bank 1.100% 11/05/2026 11/5/2021 11/5/2021 $248,000.00 $248,000.00 $248,000.00 1.09%1.099 1.090 $95.98 $238,042.30 ($9,957.70)0.07% 59013KPN0 Merrick Bank Corporation 1.100% 11/09/2026 11/9/2021 11/9/2021 $248,000.00 $248,000.00 $248,000.00 1.09%1.110 1.102 $95.92 $237,874.16 ($10,125.84)0.07% 70962LAV4 Pentagon Federal Credit Union 1.000% 11/10/2026 11/10/2021 11/10/2021 $248,000.00 $248,000.00 $248,000.00 0.99%1.112 1.106 $95.80 $237,580.78 ($10,419.22)0.07% 89235MMB4 Toyota Financial Savings Bank 1.100% 11/12/2026 11/12/2021 11/12/2021 $248,000.00 $248,000.00 $248,000.00 1.09%1.118 1.109 $95.91 $237,863.74 ($10,136.26)0.07% 73319FBJ7 Poppy Business Merchant 0.800% 11/17/2026 11/17/2021 11/17/2021 $248,000.00 $248,000.00 $248,000.00 0.79%1.132 1.126 $95.51 $236,866.78 ($11,133.22)0.06% 30781JAW0 Farmers & Merchants Bank of Colby 0.850% 11/19/2026 11/19/2021 11/19/2021 $248,000.00 $248,000.00 $248,000.00 0.84%1.137 1.131 $95.55 $236,953.58 ($11,046.42)0.07% 856285YQ8 State Bank of India 1.150% 11/30/2026 11/29/2021 11/29/2021 $248,000.00 $248,000.00 $248,000.00 1.13%1.167 1.158 $97.01 $240,574.88 ($7,425.12)0.07% 58404DMQ1 Medallion Bank 1.250% 12/21/2026 12/20/2021 12/20/2021 $248,000.00 $248,000.00 $248,000.00 1.23%1.225 1.215 $95.71 $237,369.98 ($10,630.02)0.07% 02589ABT8 American Express National Bank 2.000% 03/16/2027 3/16/2022 3/16/2022 $248,000.00 $248,000.00 $248,000.00 1.97%1.458 1.443 $97.51 $241,829.76 ($6,170.24)0.07% 14042TEP8 Capital One Bank (Usa), National Association 2.000% 03/16/2027 3/16/2022 3/16/2022 $248,000.00 $248,000.00 $248,000.00 1.97%1.458 1.443 $97.51 $241,829.76 ($6,170.24)0.07% 07371AH22 Monet Bank 2.250% 03/24/2027 3/30/2022 3/30/2022 $248,000.00 $248,000.00 $248,000.00 2.22%1.479 1.463 $97.84 $242,643.20 ($5,356.80)0.07% 07371CT25 Beal Bank USA 2.250% 03/24/2027 3/30/2022 3/30/2022 $248,000.00 $248,000.00 $248,000.00 2.22%1.479 1.463 $96.35 $238,937.09 ($9,062.91)0.07% 61768U3U9 Morgan Stanley Private Bank, National Association 2.250% 03/30/2027 3/31/2022 3/31/2022 $248,000.00 $248,000.00 $248,000.00 2.25%1.496 1.479 $96.34 $238,928.16 ($9,071.84)0.07% 61773TCX9 Morgan Stanley Bank, N.A. 2.250% 03/30/2027 3/31/2022 3/31/2022 $248,000.00 $248,000.00 $248,000.00 2.25%1.496 1.479 $96.34 $238,928.16 ($9,071.84)0.07% Page 10 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 CUSIP Security Description Trade Date/ Settlement Date Par Value Principal Cost/ Purchased Interest Total Cost Yield at Cost Maturity/ Duration Market Price/ Market Value Unrealized Gain/ (Loss) % of Assets Moody's/ S&P Rating SubTotal $5,456,000.00 $5,456,000.00 $5,456,000.00 1.25%$5,279,010.83 ($176,989.17)1.45% U.S. Treasury Note 91282CKD2 UST 4.250% 02/28/2029 7/30/2024 7/31/2024 $6,000,000.00 $6,051,328.13 $6,051,328.13 4.04%3.416 3.211 $101.87 $6,112,002.00 $60,673.87 1.68%Aaa AA+ 91282CKG5 UST 4.125% 03/31/2029 7/24/2024 7/25/2024 $3,675,000.00 $3,671,411.13 $3,671,411.13 4.15%3.501 3.234 $101.48 $3,729,290.78 $57,879.65 1.02%Aaa AA+ 91282CMA6 UST 4.125% 11/30/2029 12/18/2024 12/19/2024 $2,150,000.00 $2,139,501.95 $2,139,501.95 4.23%4.170 3.823 $101.59 $2,184,094.70 $44,592.75 0.60%Aaa AA+ 91282CMZ1 UST 3.875% 04/30/2030 5/22/2025 5/23/2025 $3,450,000.00 $3,413,613.28 $8,355.47 $3,421,968.75 4.11%4.584 4.179 $100.62 $3,471,293.40 $57,680.12 0.95%Aaa AA+ 91282CNK3 UST 3.875% 06/30/2030 8/25/2025 8/26/2025 $6,000,000.00 $6,022,500.00 $36,012.23 $6,058,512.23 3.79%4.751 4.345 $100.58 $6,034,668.00 $12,168.00 1.66%Aaa AA+ 91282CNN7 UST 3.875% 07/31/2030 8/14/2025 8/15/2025 $3,500,000.00 $3,508,203.13 $5,528.19 $3,513,731.32 3.82%4.836 4.429 $100.58 $3,520,247.50 $12,044.37 0.97%Aaa AA+ SubTotal $24,775,000.00 $24,806,557.62 $49,895.89 $24,856,453.51 3.99%$25,051,596.38 $245,038.76 6.87% Grand Total $367,148,120.31 $364,498,279.91 $124,475.86 $364,622,755.77 3.35%$364,483,068.28 ($15,211.63)100.00% Page 11 of 16 City of Santa Ana POSITION STATEMENT As of September 30, 2025 Transaction Type Trade Date Settlement Date CUSIP Security Description Par Value Principal Amount Purchased Interest Total Cost Yield at Cost Purchase Purchase 9/23/2025 9/29/2025 3137HN6B9 Federal Home Loan Mortgage Corporation 4.421% 05/25/2030 1,750,000.00 1,776,195.75 6,017.47 1,782,213.22 3.64% Total 1,750,000.00 1,776,195.75 6,017.47 1,782,213.22 Transaction Type Trade Date Settlement Date CUSIP Security Description Par Value Principal Cost Total Proceeds Realized Gain/Loss Maturity Maturity 9/29/2025 9/29/2025 3133EMBH4 Federal Farm Credit Banks Funding Corporation 0.530% 09/29/2025 5,000,000.00 5,000,000.00 5,000,000.00 0.00 Maturity 9/30/2025 9/30/2025 3134GWUE4 FMCC 0.500% 09/30/2025 5,000,000.00 5,000,000.00 5,000,000.00 0.00 Total 10,000,000.00 10,000,000.00 10,000,000.00 0.00 Paydown Paydown 9/15/2025 9/15/2025 437918AC9 Honda Auto Receivables 2024-1 Owner Trust 5.210% 08/15/2028 37,609.27 38,039.72 37,609.27 (430.45) Total 37,609.27 38,039.72 37,609.27 (430.45) Sell Sell 9/25/2025 9/26/2025 3130AFFX0 FHLB 3.250% 11/16/2028 1,000,000.00 969,118.00 988,410.00 19,292.00 Sell 9/25/2025 9/26/2025 3133EPW84 FFCB 3.875% 01/18/29 1,000,000.00 992,169.00 1,005,120.00 12,951.00 Total 2,000,000.00 1,961,287.00 1,993,530.00 32,243.00 Transaction Type Payment Date Settlement Date CUSIP Security Description Interest Received Page 12 of 16 City of Santa Ana TRANSACTION STATEMENT - PORTFOLIO HELD AT BNY As of September 30, 2025 Transaction Type Payment Date Settlement Date CUSIP Security Description Interest Received Interest/Dividends Interest/Dividends 9/2/2025 9/2/2025 478160DJ0 Johnson & Johnson 4.700% 03/01/2030 112,212.50 Interest/Dividends 9/2/2025 9/2/2025 478160DH4 Johnson & Johnson 4.550% 03/01/2028 120,701.39 Interest/Dividends 9/2/2025 9/2/2025 283062DS3 El Dorado Irrigation District Financing Corporation 2.055% 03/01/2029 25,687.50 Interest/Dividends 9/2/2025 9/2/2025 39573LCC0 Greenstate Credit Union 0.900% 11/24/2025 189.57 Interest/Dividends 9/2/2025 9/2/2025 91282CKD2 UST 4.250% 02/28/2029 127,500.00 Interest/Dividends 9/3/2025 9/3/2025 14913UAY6 Caterpillar Financial Services Corporation 4.400% 03/03/2028 110,000.00 Interest/Dividends 9/3/2025 9/3/2025 X9USDDTP3 Dreyfus Treasury Money Market Fund 7,906.68 Interest/Dividends 9/9/2025 9/9/2025 59013KPN0 Merrick Bank Corporation 1.100% 11/09/2026 231.69 Interest/Dividends 9/10/2025 9/10/2025 15721UET2 CFBank, National Association 0.850% 07/10/2026 179.04 Interest/Dividends 9/10/2025 9/10/2025 70962LAV4 Pentagon Federal Credit Union 1.000% 11/10/2026 210.63 Interest/Dividends 9/12/2025 9/12/2025 06417NF73 Bank OZK 0.600% 05/12/2026 126.38 Interest/Dividends 9/15/2025 9/15/2025 14041NGE5 Capital One Multi-Asset Execution Trust 3.920% 09/17/2029 16,333.34 Interest/Dividends 9/15/2025 9/15/2025 02582JKM1 American Express Credit Account Master Trust 4.560% 12/17/2029 15,200.00 Interest/Dividends 9/15/2025 9/15/2025 437918AC9 Honda Auto Receivables 2024-1 Owner Trust 5.210% 08/15/2028 28,372.79 Interest/Dividends 9/16/2025 9/16/2025 02589ABT8 American Express National Bank 2.000% 03/16/2027 2,500.38 Interest/Dividends 9/16/2025 9/16/2025 14042TEP8 Capital One Bank (Usa), National Association 2.000% 03/16/2027 2,500.38 Interest/Dividends 9/17/2025 9/17/2025 73319FBJ7 Poppy Business Merchant 0.800% 11/17/2026 168.50 Interest/Dividends 9/19/2025 9/19/2025 30781JAW0 Farmers & Merchants Bank of Colby 0.850% 11/19/2026 179.04 Page 13 of 16 City of Santa Ana TRANSACTION STATEMENT - PORTFOLIO HELD AT BNY As of September 30, 2025 Transaction Type Payment Date Settlement Date CUSIP Security Description Interest Received Interest/Dividends 9/20/2025 9/20/2025 43814VAC1 HONDA AUTO RECEIVABLES 2025-1 A-3 20290921 4.57000 7,616.67 Interest/Dividends 9/22/2025 9/22/2025 45776NEN2 Insbank 0.900% 06/19/2026 189.57 Interest/Dividends 9/22/2025 9/22/2025 58404DMQ1 Medallion Bank 1.250% 12/21/2026 263.29 Interest/Dividends 9/25/2025 9/25/2025 3137HJ5Y9 Federal Home Loan Mortgage Corporation 4.700% 11/25/2029 7,833.33 Interest/Dividends 9/25/2025 9/25/2025 3132XKXN2 Federal Home Loan Mortgage Corporation 4.500% 11/01/2029 19,375.00 Interest/Dividends 9/25/2025 9/25/2025 3137HFF59 Federal Home Loan Mortgage Corporation 4.618% 07/25/2029 9,236.00 Interest/Dividends 9/25/2025 9/25/2025 3132XFMR6 Federal Home Loan Mortgage Corporation 4.340% 08/01/2028 20,554.72 Interest/Dividends 9/25/2025 9/25/2025 3132XGZG4 Federal Home Loan Mortgage Corporation 4.750% 12/01/2028 6,953.47 Interest/Dividends 9/25/2025 9/25/2025 3132XKTM9 Federal Home Loan Mortgage Corporation 4.100% 07/01/2029 13,645.60 Interest/Dividends 9/25/2025 9/25/2025 3132XKWE3 Federal Home Loan Mortgage Corporation 4.000% 10/01/2029 12,830.56 Interest/Dividends 9/25/2025 9/25/2025 3140NW7A7 Federal National Mortgage Association, Inc. 4.515% 12/01/2029 11,663.75 Interest/Dividends 9/25/2025 9/25/2025 3140NWBC8 Federal National Mortgage Association, Inc. 4.080% 09/01/2029 21,080.00 Interest/Dividends 9/25/2025 9/25/2025 3132XKVZ7 Federal Home Loan Mortgage Corporation 4.550% 10/01/2029 12,020.59 Interest/Dividends 9/25/2025 9/25/2025 096924AD7 BMW Vehicle Owner Trust 2025-A 4.560% 09/25/2029 16,530.00 Interest/Dividends 9/26/2025 9/26/2025 02568KAJ4 Luminate Bank 0.700% 05/27/2026 147.44 Interest/Dividends 9/25/2025 9/26/2025 3133EPW84 FFCB 3.875% 01/18/29 7,319.44 Interest/Dividends 9/25/2025 9/26/2025 3130AFFX0 FHLBanks Office of Finance 3.25% 11/16/2028 11,736.11 Interest/Dividends 9/29/2025 9/29/2025 3130ARC82 FHLB 2.100% 03/29/2027 31,500.00 Interest/Dividends 9/29/2025 9/29/2025 3133EMBH4 Federal Farm Credit Banks Funding Corporation 0.530% 09/29/2025 13,250.00 Page 14 of 16 City of Santa Ana TRANSACTION STATEMENT - PORTFOLIO HELD AT BNY As of September 30, 2025 Transaction Type Payment Date Settlement Date CUSIP Security Description Interest Received Interest/Dividends 9/30/2025 9/30/2025 3134GWUE4 FMCC 0.500% 09/30/2025 12,500.00 Interest/Dividends 9/30/2025 9/30/2025 3130AP3E3 FHLB 0.820% 09/30/2026 20,500.00 Interest/Dividends 9/30/2025 9/30/2025 3130APB79 FHLB 1.000% 09/30/2026 25,000.00 Interest/Dividends 9/30/2025 9/30/2025 91282CKG5 UST 4.125% 03/31/2029 75,796.88 Interest/Dividends 9/30/2025 9/30/2025 07371AH22 Monet Bank 2.250% 03/24/2027 2,812.93 Interest/Dividends 9/30/2025 9/30/2025 07371CT25 Beal Bank USA 2.250% 03/24/2027 2,812.93 Interest/Dividends 9/30/2025 9/30/2025 61768U3U9 Morgan Stanley Private Bank, National Association 2.250% 03/30/2027 2,812.93 Interest/Dividends 9/30/2025 9/30/2025 61773TCX9 Morgan Stanley Bank, N.A. 2.250% 03/30/2027 2,812.93 Total 938,993.95 Transaction Type Trade Date Settlement Date Transaction Description Amount Withdrawal Withdrawal 9/10/2025 9/10/2025 Cash Out (1,000,000.00) Total (1,000,000.00) Page 15 of 16 City of Santa Ana TRANSACTION STATEMENT - PORTFOLIO HELD AT BNY As of September 30, 2025 Meeder provides monthly statements for its investment management clients to provide information about the investment portfolio. The information should not be used for audit or confirmation purposes. Please review your custodial statements and report any inaccuracies or discrepancies. Certain information and data has been supplied by unaffiliated third parties. Although Meeder believes the information is reliable, it cannot warrant the accuracy of information offered by third parties. Market value may reflect prices received from pricing vendors when current market quotations are not available. Prices may not reflect firm bids or offers and may differ from the value at which the security can be sold. Statements may include positions from unmanaged accounts provided for reporting purposes. Unmanaged accounts are managed directly by the client and are not included in the accounts managed by the investment adviser. This information is provided as a client convenience and the investment adviser assumes no responsibility for performance of these accounts or the accuracy of the data reported. Investing involves risk. Past performance is no guarantee of future results. Debt and fixed income securities are subject to credit and interest rate risk. The investment return and principal value of an investment will fluctuate so that an investors shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Meeder Investment Management is the global brand for the Meeder group of affiliated companies. Investment advisory services are provided through Meeder Public Funds, Inc. Please contact us if you would like to receive a copy of our current ADV disclosure brochure or privacy policy. This report contains all the required information and accurately reflects all pooled investments held during this reporting period on behalf of the City and the Successor Agency to the Santa Ana Redevelopment Agency. The information reported herein is in compliance with State law and the City's Investment Policy. Based on liquidity of investments, the City of Santa Ana is able to meet budgeted expenditure requirements for the next six months, barring any catastrophic natural disasters. Market pricings are obtained through the City's third-party Investment Advisor at Meeder Public Funds, Inc. Page 16 of 16 City of Santa Ana STATEMENT DISCLOSURE As of September 30, 2025 DATA PROVIDED AND VERIFIED BY THE CITY OF SANTA ANA Fund Fund description Amount 011 GENERAL FUND 131,824,278.51 012 CANNABIS PUBLIC BENEFIT 20,599,939.16 016 CASP CERTIFICATION & TRAINING 647,735.64 020 OTS-TRAFFIC OFFENDER PROGRAM 26,729.17 021 PRCSA CATV FUND 1,796,125.53 022 PRCSA FEE & DONATION 286,903.90 023 INMATE WELFARE FUND 2,993,052.28 024 PD ATHLETIC ACTIVITIES LEAGUE (355,221.09) 025 IDB & EZ VOUCHER MONITORING 187,181.50 026 ASSET FORFEITURE FUND 385,045.08 027 PARKING FUND 3,361,920.43 029 SPECIAL GAS TAX 31,717,243.22 030 PROP 1B BOND ACT OF 2006 160,232.22 031 AIR QUALITY IMPR. (AB 2766)553,450.35 032 MEASURE M-STREET CONSTRUCTION (6,217,954.84) 033 NEW TRANSPO SYS IMPR AREA B 599,685.28 034 NEW TRANSPO SYS IMPR AREA E 1,761,640.85 035 NEW TRANSPO SYS IMPR AREA F 2,248,818.07 041 TRANSP SYS IMPR AREA A-2 729,284.64 042 TRANSPO SYS IMPR AREA B 20,051.18 043 TRANSPO SYS IMPR AREA C 79,002.90 044 TRANSPO SYS IMPR AREA D 10,459.17 048 TRANSPO SYS IMPR AREA C-2 353,905.48 049 TRANSPO SYS IMPR AREA G 102,800.52 051 CAPITAL OUTLAY FUND 2,512,856.26 053 CITY SERVICES 8,526,715.92 054 SANITARY SEWER CAPITAL 7,829,009.83 055 SEWER CONNECTION FEE 4,722,792.93 056 SANITARY SEWER SERVICE 9,999,619.13 057 FED CLEAN WATER PROTECTION ENT 6,530,840.86 058 RESIDENTIAL STREET IMPROVEMENT 7,605,946.24 059 SELECT STREET CONSTRUCTION 24,720,582.93 060 WATER REVENUE 33,932,940.60 066 ACQUISITION & CONSTRUCTION (1,983,312.60) 067 REGIONAL TRANSP CENTER 1,139,583.96 068 SANITATION FUND 2,448,424.64 069 REFUSE COLLECTION SERVICE 8,393,089.80 070 EQUIPMENT REPLACEMENT FUND 6,236,820.95 073 BUILDING MAINT FUND 1,739,485.79 DATA PROVIDED AND VERIFIED BY THE CITY OF SANTA ANA Fund Fund description Amount 074 CIVIC CENTER MAINTENANCE (835,208.19) 075 FLEET MAINTENANCE/STORES 1,877,618.37 078 RETIREMENT SYSTEM (9,501,784.29) 080 LIABILITY AND PROPERTY INS FND 4,758,645.10 081 EMPLOYEE GROUP INSURANCE 3,818,450.74 082 WORKERS COMPENSATION FUND 18,022,241.14 083 PAYROLL REVOLVING 6,545,250.49 085 CITY YARD OPERATION (910,236.74) 087 PT RETIREMENT FUND 9,253.22 089 CA SEISMIC HAZARD PROGRAM 23,045.42 090 ORANGE CO SANITATION DIST 2&3 538,044.93 095 POLICE COMMISSARY ACCOUNT 284,982.98 096 SA TOURISM MARKETING DISTRICT 156,788.04 097 POLICE SEIZED ASSETS 2,770,028.02 100 SECTION 457 FIDUCIARY ADMIN 46,406.66 101 PUB WKS-ADMIN & PLANNING 3,512,377.78 103 PM RETIREE HEALTH IUNSURANCE 9,103.02 104 SEIU RETIREE HEALTH INSURANCE 62,954.48 106 EM/SAMA RETIREE HEALTHE INSURANCE 13,419.40 107 CASA RETIREE HEALTH INSURANCE 5,259.77 109 INFO SYS STRATEGIC PLAN 15,770,592.44 110 STRONG MOTION INSTRUMENTATION 118,025.24 111 OPIOID REMEDIATION 4,568,887.79 120 FIRE FACILITIES FUND 2,914,210.46 121 SPECIAL REPAIR/DEMOLITION 779,094.07 122 EMERGENCY & HEALTH GRANTS 4,343,731.57 123 WORKFORCE INVESTMENT ACT (887,645.86) 124 ORANGE COUNTY SSA GRANTS (8,692.11) 125 OES UASI (719,455.43) 127 D.O.J. GRANT FUND (56,453.17) 128 POLICE BLOCK GRANTS 2,403,714.21 130 HOME PROGRAM FEDERAL GRANT 3,775,882.14 131 MISC GRANTS 332,618.00 133 HOUSING AUTHORITY-ISSUER FEE 2,059,262.14 135 COMMUNITY DEV BLOCK GRANT (446,523.47) 136 HOUSING AUTHORITY-VOUCHER HAP 1,705,529.12 138 HOUSING AUTHORITY-MS 5 106,897.53 139 HOUSING AUTHORITY-NEW CONSTR 494,467.72 140 HOUSING AUTHORITY-VOUCHER ADM 4,074,741.77 DATA PROVIDED AND VERIFIED BY THE CITY OF SANTA ANA Fund Fund description Amount 142 NSP FEDERAL GRANT 442,246.66 143 CALHOME MFGD HSG LOAN 24,382.34 144 PRISON TO EMPLOYMENT PROGRAM (79,389.53) 145 RENTAL REHABILITATION GRANT 10,887.35 147 FEDERAL AID SAFETY PROGRAM (875,890.08) 148 TRAFFIC SYSTEM MGMT GRANT (12,006,446.96) 149 WIC ASSESSMENT DIST ST IMPRV 34,216.96 152 PUBLIC LIBRARY GRANT FUND 3,842,002.06 158 PLANNING GRANTS PROGRAM 1,470,318.48 161 PRCSA CAPITAL GRANTS (3,166,012.00) 164 PUB WKS-WTR QUALITY & CONTROL (6,243,827.21) 165 OFFICE OF SAFETY GRANT 101,510.25 166 US DOJ ASSET FORFEITURE FUND 2,326,559.50 167 US TREASURY ASSET FORFEITURE 214,343.78 169 RECREATION GRANTS FUND 497,248.98 177 EMERGENCY RENTAL ASSISTANCE PG 56,097.91 179 GENERAL FIXED ASSETS 16,773.11 180 ARPA EHV ADMIN FEES 132,431.02 181 AMERICAN RESCUE PLAN ACT 20,684,859.19 182 HOME-ARP PROGRAM FEDERAL GRANT (13,918.45) 183 ARPA - CA FOR ALL YOUTH WDP (418,926.93) 185 RENT STABILIZATION 3,296,820.13 186 HCV F S S FORFEITURES 329,159.41 201 LOCAL DRAINAGE AREA NO 1 138.47 202 LOCAL DRAINAGE AREA NO 2 1,494.12 203 LOCAL DRAINAGE AREA NO 3 789,239.28 204 LOCAL DRAINAGE AREA NO 4 1,103.39 205 LOCAL DRAINAGE AREA NO 5 626.89 206 LOCAL DRAINAGE AREA NO 6 920.15 207 LOCAL DRAINAGE AREA NO 7 202,969.28 209 LOCAL DRAINAGE AREA NO 9 765.69 210 LOCAL DRAINAGE AREA NO 10 17,947.59 211 LOCAL DRAINAGE AREA NO 11 232.71 212 LOCAL DRAINAGE AREA NO 12 13.73 213 LOCAL DRAINAGE AREA NO 13 2,819.63 221 LOCAL DRAINAGE AREA I 1,195,636.30 222 LOCAL DRAINAGE AREA II 601,559.82 223 LOCAL DRAINAGE AREA III 217,139.15 224 LOCAL DRAINAGE AREA IV 737,352.76 DATA PROVIDED AND VERIFIED BY THE CITY OF SANTA ANA Fund Fund description Amount 225 LOCAL DRAINAGE AREA V 415,503.62 226 LOCAL DRAINAGE AREA VI 372,105.74 301 REC/COMM SVS 6,305.99 311 RESIDENTIAL DEVELOP DISTRICT 1 1,179,790.93 312 RESIDENTIAL DEVELOP DISTRICT 2 4,981,148.23 313 RESIDENTIAL DEVELOP DISTRICT 3 10,910,165.53 314 RESIDENTIAL DEVELOP DISTRICT 4 669,999.94 315 RESIDENTIAL DEVELOP HARBOR SPECFIC 910,971.29 404 COSA 2014 LEASE FINANCING 182,651.25 406 2021 PENSION OBLIGATION BONDS 17,235.73 417 INCLUSIONARY HOUSING FEE 5,625,019.80 418 CDA - PEEBLER CAPITAL FUND (721,480.15) 607 HOUSING AUTHORITY LMIHF 3,969,070.68 655 2018A SERIES TAX ALLOC BOND 37,130.12 670 COSA RDA 678,895.06 671 COSA RDA OBLIGATION RETIREMENT 316,896.77 991 TRAN SYS IMP AUT C-2 TUSTIN 2,535,508.98 992 TRAN SYS IMP AUT AREA D-TUSTIN 9,935,432.36 993 WIC ASSESSMENT DISTRICT 401,264.77 999 Lawson Clearing 3,954.61 Reconciling Item(s) - Outstanding Checks *1,468,904.83 Reconciling Item(s) - Bank Direct Deposits*1,279,914.09 Reconciling Item(s) - Deposits in Transit*(990,853.02) Withdrawals in Transit (264,918.71) Reconciling Item(s) - Various*(316,407.68)