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HomeMy WebLinkAbout2025-03-31_TreasurerReports2025Jefferson County Finance Committee Treasurer’s Report March 2025 Report Page(s) Table of Contents 1 INVESTMENT REPORTS Treasurer’s Summary Report 2 Treasury Par Yield Curve Rates and Local Government Investment Pool (LGIP) Rates (all years and 2017-2024) 3 Investment Summary 4 LGIP Portfolio – Local Government Investment Pool • Portfolio Summary • LGIP Allocation and Ending Balances 5-8 JCIP Portfolio – Treasurer and District Investments • Portfolio Summary • JCIP Investments by All Types • Accrued Interest 9-12 DEBT REPORTS Debt by District and Issue • Positions by Period • Statement of 30 years 13-15 Jefferson County Summary of Debt Chart: County and JeffCom shares 16 Page 1 of 16 Jefferson County Finance Committee Treasurer’s Summary Report Meeting date April 28, 2025 Investment Reports • Treasury Par Yield Curve Rates and Local Government Investment Pool (LGIP) Rates 4.4507%, 4.4276% and 4.3995% for January, February and March. The chart at the top shows Treasury rates, and it shows the March LGIP rate of 4.3995% higher than the monthly average by duration for treasury rates in February and March. It was less than the ten year treasury rate in January. • Investment Summary: Total Investments $222,303,743 by Bank include $217,141,787 in the State Investment Pool with Treasurer’s Cash of $43.6 million. General Fund cash balance on 3/31/2025 was $7.02 million, and the rest is comprised of ending fund balance of both county and special purpose district funds not invested on their behalf. 98% of all county and special district investments are held in the state investment pool and 2% in US Agency securities. For Treasurer’s Cash, the portion held in the LGIP is 91% and 9% in US Agency Securities. • LGIP Portfolio: Investments in the Washington State Treasurer’s Local Government Investment Pool. • Portfolio Summary: $217,141,787 was invested in the state pool at month end. • LGIP Allocation and Ending Balances detailed by fund. • JCIP Portfolio – Treasurer and District Investments in securities • Portfolio Summary $5,161,957 invested at month end. • JCIP Investments by All Types $4,500,000 was Treasurer’s Cash investments, and the rest are dedicated investments for districts. • Accrued Interest: shows detail per investment with accrued interest and interest received in March. Debt Reports • Debt by District and Issue • Positions by Period provided information per debt issue group summarized by district. This shows the ending balance as of 3/31/2025. This reflects the $1 million draw for the 2024 GAN done in the beginning of January 2025. • Statement of 30 years provides debt service per district. JeffCom is included in County debt, and we have an agreement for them to pay their portion from communication sales tax receipts. • Jefferson County GO Debt: Chart showing amount to be paid by Jefferson County and JeffCom 2025-2030. Page 2 of 16 Treasury Rates and LGIP Prepared by Jefferson County Treasurer LIQUID INVESTMENTSLocal Government Investment Pool (LGIP)Local Government Investment Pool (LGIP) Sum of LGIP Column Labels Row Labels Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec20041.0671%1.0595%1.0334%1.0185%1.0169%1.0312%1.1543%1.3073%1.5181%1.7141%1.8810%2.0740% 2005 2.2197%2.3955%2.5502%2.7703%2.9758%3.0411%3.2135%3.3998%3.5788%3.7576%3.9627%4.1605% 2006 4.2322%4.4223%4.5000%4.6566%4.8542%4.9860%5.1637%5.1883%5.2023%5.1931%5.2229%5.2134% 2007 5.2113%5.2768%5.2372%5.2260%5.1936%5.2068%5.2053%5.2265%5.1232%4.9108%4.6985%4.5607% 2008 4.3596%3.7871%3.1375%2.6998%2.4281%2.2933%2.2758%2.3328%2.3892%2.4652%2.1903%1.8183% 2009 1.2669%1.0689%1.0301%0.8905%0.6678%0.7396%0.6507%0.6036%0.4703%0.4164%0.3300%0.3347% 2010 0.2864%0.2723%0.2245%0.2395%0.2709%0.3014%0.2762%0.2680%0.2997%0.2564%0.2155%0.2644%2011 0.2328%0.2189%0.2338%0.1718%0.1394%0.1583%0.1561%0.1723%0.1688%0.1127%0.1480%0.1305% 2012 0.1213%0.1394%0.1367%0.1479%0.1443%0.1746%0.1764%0.1848%0.1807%0.1777%0.1792%0.2350% 2013 0.1745%0.1650%0.1778%0.1667%0.1351%0.1233%0.1197%0.1231%0.1233%0.1260%0.1161%0.1278% 2014 0.1112%0.1053%0.1137%0.1008%0.0922%0.0870%0.1087%0.1038%0.1089%0.0984%0.0929%0.1038% 2015 0.1345%0.1347%0.1577%0.1431%0.1428%0.1691%0.1449%0.1561%0.1871%0.1865%0.1676%0.2529% 2016 0.3868%0.4201%0.4484%0.4935%0.4241%0.4287%0.4894%0.4853%0.5166%0.4739%0.4684%0.5067% 2017 0.6304%0.6304%0.6996%0.8291%0.8687%0.9794%1.0733%1.1100%1.1285%1.1380%1.1560%1.2752%2018 1.4286%1.4728%1.5742%1.7152%1.7949%1.8855%1.9858%2.0151%2.0685%2.2323%2.2818%2.3706% 2019 2.4920%2.5129%2.5228%2.5393%2.4996%2.5056%2.4775%2.2875%2.1960%2.0542%1.8307%1.7741% 2020 1.7233%1.6787%1.2939%0.8056%0.4984%0.3700%0.3109%0.2562%0.2061%0.1858%0.1613%0.1561% 2021 0.1395%0.1346%0.1139%0.1015%0.0766%0.0753%0.1773%0.0789%0.0871%0.0936%0.0862%0.0908% 2022 0.0909%0.1081%0.2253%0.4058%0.7035%1.0085%1.6098%2.2450%2.5900%3.0354%3.7543%4.1176% 2023 4.3957%4.6093%4.7564%4.9283%5.1498%5.1996%5.2383%5.3400%5.3854%5.3975%5.4342%5.4299% 2024 5.4220%5.4131%5.4066%5.3975%5.3985%5.4042%5.4110%5.3955%5.2290%4.9334%4.7255%4.6023% 2025 4.4507%4.4276%4.3995% 0.0000% 1.0000% 2.0000% 3.0000% 4.0000% 5.0000% 6.0000% 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov DecMonth Years Sum of LGIP 0.00 1.00 2.00 3.00 4.00 5.00 6.00 Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n Ju l Ja n 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Average of 1 Yr Average of 2 Yr Average of 3 Yr Average of 5 Yr Average of 10 Yr Average of LGIP Values Years Date Average of 1 YrAverage of 2 YrAverage of 3 YrAverage of 5 YrAverage of 10 YrAverage of LGIP Page 3 of 16 Investment Summary Investment Type District & Fund Investments (997:998)Treasurer's Cash (999) All Investments (997:999) 100007:100009 Certificate of Deposit - - 0.00%- 0.00%100006 US Agency Securities 661,957 4,500,000 9.35%5,161,957 2.32%100005 Public Interest Checking - - 0.00%- 0.00%100004 Washington State Pool 173,499,623 43,642,164 90.65%217,141,787 97.68%174,161,579 48,142,164 100.00%222,303,743 100.00% #Munis Object BANK 3/31/2024 4/30/2024 5/31/2024 6/30/2024 7/31/2024 8/31/2024 9/30/2024 10/31/2024 11/30/2024 12/31/2024 1/31/2025 2/28/2025 3/31/2025 275 100008 First Federal Bank 0 0 0 0 0 0 0 0 0 0 0 0 0 310 100007 Sound Community Bank 0 0 0 0 0 0 0 0 0 0 0 0 0 550 100009 Kitsap Bank 0 0 0 0 0 0 0 0 0 0 0 0 0 520 100005 Pacific Premier Bank 0 0 0 0 0 0 0 0 0 0 0 0 0 900 100006 U.S. Government Securities 8,764,164 8,764,164 8,764,164 8,764,164 7,764,164 7,764,164 7,764,164 7,764,164 6,665,444 5,660,258 5,161,957 5,161,957 5,161,957 999 100004 State Investment Pool 226,316,638 247,136,297 237,111,616 240,751,727 236,444,284 237,945,683 232,383,291 247,267,294 238,784,114 236,571,128 231,300,992 223,747,698 217,141,787 TOTAL 235,080,802 255,900,461 245,875,781 249,515,891 244,208,448 245,709,847 240,147,455 255,031,458 245,449,558 242,231,386 236,462,949 228,909,655 222,303,743 999-100004 Treasurer's Cash in State Pool: 44,102,004 60,403,341 39,845,846 43,917,696 43,330,130 47,590,763 42,212,231 55,965,941 50,632,503 44,092,504 47,303,010 50,995,042 43,642,164 3/31/2025 0 50,000,000 100,000,000 150,000,000 200,000,000 250,000,000 300,000,000 3/31/2024 4/30/2024 5/31/2024 6/30/2024 7/31/2024 8/31/2024 9/30/2024 10/31/2024 11/30/2024 12/31/2024 1/31/2025 2/28/2025 3/31/2025 Total Investments by Bank First Federal Bank Sound Community Bank Kitsap Bank Pacific Premier Bank U.S. Government Securities State Investment Pool - 50,000,000 100,000,000 150,000,000 200,000,000 250,000,000 Certificate of Deposit US Agency Securities Public Interest Checking Washington State Pool All Investments District & Fund Investments (997:998)Treasurer's Cash (999) Certificate of Deposit, -, 0% US Agency Securities, 4,500,000 , 9%Public Interest Checking, -, 0% Washington State Pool, 43,642,164 , 91% Treasurer's Cash (999) Certificate of Deposit US Agency Securities Public Interest Checking Washington State Pool Certificate of Deposit, -, 0% US Agency Securities, 5,161,957 , 2% Public Interest Checking, -, 0%Washington State Pool, 217,141,787 , 98% All Investments (997:999) Certificate of Deposit US Agency Securities Public Interest Checking Washington State Pool - 5,000,000 10,000,000 15,000,000 20,000,000 25,000,000 30,000,000 35,000,000 40,000,000 45,000,000 50,000,000 Certificate of Deposit US Agency Securities Public Interest Checking Washington State Pool Treasurer's Cash Certificate of Deposit US Agency Securities Public Interest Checking Washington State Pool Page 4 of 16 JEFF Co WA LGIP Portfolio Management March 31, 2025 Jefferson County Portfolio Summary % of Portfolio Book ValueInvestmentsMarket Value Par Value Days to MaturityTerm YTM 360 Equiv. YTM 365 Equiv. LGIP 217,141,786.78 1100.00 4.3391217,141,786.78217,141,786.78 4.399 217,141,786.78 100.00%Investments 217,141,786.78217,141,786.78 1 1 4.339 4.399 Current Year March 31 800,954.14 Average Daily Balance Effective Rate of Return 214,357,305.28 4.40% Total Earnings Month Ending __________________________________________________ ____________________ Stacie Prada, Treasurer Portfolio LGIP CP Reporting period 03/01/2025-03/31/2025 Run Date: 04/03/2025 - 13:41 PM (PRF_PM1) 7.3.0No fiscal year history available Report Ver. 7.3.6.1 4/3/2025 Page 5 of 16 Ending Balance JEFF Co WA LGIP Allocation Account Activity March 1, 2025 - March 31, 2025 Transfer Out / FeesTransfer In Disbursements /Contributions /Beginning Balance EarningsAllocated Asset Num Fund Description 309.38 82,799.91266.3182,533.60IG-6935 HAVA 3 Grant10411810 309.38 9,411.52 49,842.881,797.9257,260.24Auditor's O&M10511810 196.24 47,476.30 778,565.5545,929.11777,150.07Hotel Motel12511810 2,962.67 566.94 151,729.281,389.69150,339.59JC Inmate Commissary13411810 566.94 5.30 1,418.354.561,413.79Jefferson County Drug Fund13511810 5.30 19.76 5,289.5617.015,272.55Federal Forest Title III Fund14711810 19.76 64,832.03 1,192,348.6891,501.261,161,063.29Jeff Co Affordable Housing14811810 4,616.16 40,715.91 123,059.3520,613.91142,657.91Homeless Housing Fund14911810 503.44 2,230.63 51,117.56338.5152,816.92Treasurer's O&M15011810 192.76 8,561.85 227,176.293,010.98231,869.21Veteran's Relief15511810 857.95 42.31 11,323.8536.4211,287.43Post Harvest Tmbr Mgmt Resv17811810 42.31 0.00 0.150.000.15County Roads18011810 0.00 6.52 1,743.775.601,738.17LTGO Refunding Bond 199820470118 6.52 5,264.63 423,127.415,447.13421,362.10HJC PARK JUMP PLAYGROUND30411810 1,582.81 169,472.45 2,330,029.1987,465.402,403,155.79Public Insfrastructure Fund30611810 8,880.45 3,396.95 909,117.2914,837.04894,280.25Conservation Futures Tax Fund30811810 3,396.95 158,272.15 2,007,295.85164,543.311,993,417.60Solid Wastex40111810 7,607.09 69.16 18,509.3759.5418,449.83Solid Waste Post Closure Fund40211810 69.16 2,124.82 568,661.031,875.10566,785.93Solid Waste Equipment Reserve40311810 2,124.82 42.32 11,326.6136.4311,290.18Yard Waste Education40411810 42.32 1,192,004.45 1,400,506.31684,155.341,900,669.16Tri-Area Sewer Fund40511810 7,686.26 142,094.87 1,422,547.73265,171.921,294,035.25E R & R50111810 5,435.43 4,865.87 1,302,240.4233,135.051,269,105.37Employee Benefit Reserve Fund50511810 4,865.87 43.01 11,509.8437.0211,472.82JC Drainfield KP Village AssnY62068118 43.01 116.88 31,280.19100.6031,179.59JC Drainfield KP Condo AssnY62069118 116.88 64.55 17,275.6355.5717,220.06JC Drainfield KP RecreationY62070118 64.55 216.01 57,808.92185.9357,622.99JC Drainfield Bluffs Condo AsY62071118 216.01 46.83 12,533.4340.3112,493.12JC Drainfield K Hgts Condo AsY62072118 46.83 111.14 29,744.8595.6629,649.19JC Drainfield K Hgts PUD AssY62073118 111.14 49,264.08 1,430,784.0574,024.801,400,667.48SD #20 M&O64220118 5,355.85 91.11 24,406.8378.4024,328.43SD #20 Building64222118 91.11 331.45 88,788.88285.2188,503.67SD #20 Transportation64223118 331.45 3,604.74 401,557.4213,929.83389,727.59SD #46 M&O64620118 1,504.74 447.94 119,882.16385.58119,496.58SD #46 Building64622118 447.94 Portfolio LGIP CP Run Date: 04/03/2025 - 13:51 LP (PRF_LPF) 7.1.1 Report Ver. 7.3.6.1Page 6 of 16 Ending Balance March 1, 2025 - March 31, 2025 Page 2 Transfer Out / FeesTransfer In Disbursements /Contributions / Allocation Account Activity JEFF Co WA LGIP Beginning Balance EarningsAllocated Asset Num Fund Description 45.76 12,247.2639.3912,207.87SD #46 Transportation64623118 45.76 221,496.41 1,006,565.27119,858.811,104,011.75SD #48 M&O64820118 4,191.12 4,650.12 83,478.914,373.3683,442.92SD #48 ASB64821118 312.75 485.16 129,843.32418.39129,424.93SD #48 Building64822118 485.16 439.58 117,642.33378.38117,263.95SD #48 Transportation64823118 439.58 64.78 17,336.5255.7617,280.76SD #48 UTGO Ref Bond 201064833118 64.78 1,035,377.24 1,062,675.261,268,437.16822,178.17SD #49 M&O64920118 7,437.17 3,571.81 195,861.421,093.93197,601.31SD #49 ASB64921118 737.99 27,024.81 2,747,027.19477,426.742,286,300.50SD #49 Building64922118 10,324.76 1,631.30 436,581.351,428.01435,153.34SD #49 Transportation64923118 1,631.30 81,860.36 2,433,069.71205,640.002,300,705.71SD #50 M&O65020118 8,584.36 2,494.39 340,704.1513,430.00328,529.15SD #50 ASB65021118 1,239.39 179,768.50 83,912.02845.00262,091.02SD #50 Transportation65023118 744.50 548.74 146,858.38472.34146,386.04SD #50 UTGO Ref Bond 200765027118 548.74 11,297.31 3,184,877.09233,062.002,951,815.09SD #50 - Bldg Capital Projects65031118 11,297.31 2,553.59 767,450.29172,393.84595,056.45SD #50 UTGO Bond 201665049118 2,553.59 14.20 3,799.750.003,799.75Cemetery District #1 General65100118 14.20 640.53 171,424.07551.35170,872.72Cemetery District #2 General65200118 640.53 188.26 50,384.38162.0550,222.33Cemetery District #3 General65300118 188.26 2,459.97 665,937.237,835.23658,102.00JeffCom Capital65930118 2,459.97 980,909.98 1,543,430.31947,000.001,572,854.22Fire Dist #1 General66100118 4,486.07 515,754.52 2,772,239.52568,000.002,711,071.59Fire Dist #1 - EMS66110118 8,922.45 3,683.22 985,731.033,286.90982,444.13Fire Dist #1- EMS Capital66111118 3,683.22 5,143.19 1,376,458.274,609.521,371,848.75Fire Dist #1- Fire Capital66113118 5,143.19 1,880.58 504,893.481,653.24503,240.24Fire Dist #1- Reserve66115118 1,880.58 68,095.20 327,588.6156,393.64337,929.38Fire Dist #2 General66200118 1,360.79 56,915.44 214,589.3848,194.93222,393.32Fire Dist #2 EMS66210118 916.57 8,678.21 2,322,525.777,811.992,314,713.78Fire Dist #2 Capital Projects66231118 8,678.21 67,400.89 401,524.0368,870.14398,427.62Fire Dist #4 General66400118 1,627.16 47,513.98 371,569.2838,831.79378,774.30Fire Dist #4 EMS66410118 1,477.17 626.31 167,616.728,738.36158,878.36Fire Dist #4 Bond 201966453118 626.31 24,139.62 421,458.726,233.05437,747.06Fire Dist #5 General66500118 1,618.23 12,509.68 46,413.803,304.3555,421.96Fire Dist #5 EMS66510118 197.17 0.01 2.770.002.77Fire Dist #5 Project Fund 201666531118 0.01 Portfolio LGIP CP Run Date: 04/03/2025 - 13:51 LP (PRF_LPF) 7.1.1 Report Ver. 7.3.6.1Page 7 of 16 Ending Balance March 1, 2025 - March 31, 2025 Page 3 Transfer Out / FeesTransfer In Disbursements /Contributions / Allocation Account Activity JEFF Co WA LGIP Beginning Balance EarningsAllocated Asset Num Fund Description 848.85 13,837.051,511.7813,121.46Park & Rec Dist #1 General67100118 52.66 123,306.81 46,401.200.00169,401.20Library #1 General67600118 306.81 4,071.00 1,089,511.233,638.201,085,873.03Library #1 CPF Building67622118 4,071.00 132,319.03 0.00424.30131,497.21Library #1 CB & O67626118 397.52 1,073.40 289,626.493,844.14285,782.35Library #1 Unemp Reserve67627118 1,073.40 1,822.63 487,786.681,601.34486,185.34Library #1 Cap Asset Fund67632118 1,822.63 2,728.59 834,278.57131,337.07702,941.50Library #1 Brd Designated Cash67633118 2,728.59 882,849.71 7,205,291.091,142,908.376,919,602.50Olympic Area on Aging67800118 25,629.93 216.03 57,816.68185.9557,630.73O3A Unemployment Compensation67828118 216.03 21,678.06 5,930,674.861,016,640.664,914,034.20Port of Port Townsend Reserve67915118 21,678.06 23,209.57 6,211,518.48140,650.636,070,867.85Port of Port Townsend IDD-201967966718 23,209.57 840.72 225,000.000.00225,000.00Hospital #1 General68100118 840.72 1,665,018.78 19,306,305.033,177,459.7017,724,209.14Hosp #2 - Operating Reserves68215118 69,654.97 3,351.13 896,853.942,986.05893,867.89Hosp #2 - Capital Projects68231118 3,351.13 29,320.72 7,847,029.2848,240.977,798,788.31Hosp #2 Board Designated Cash68233118 29,320.72 37,868.31 10,134,598.3334,256.1010,100,342.23Hosp #2 Bond Reserve68234118 37,868.31 4,134.36 1,106,469.413,695.601,102,773.81Hosp #2 2023 A Bond Fund68273A00 4,134.36 6.27 1,677.705.401,672.30Hosp #2 2023 B Bond Fund68273B00 6.27 5.29 1,415.674.551,411.12Hosp #2 2023 C Bond Fund68273C00 5.29 102,005.14 27,299,374.1192,359.3927,207,014.72Hosp #2 Funded Depreciation68276118 102,005.14 3,203,235.77 22,957,584.45103,929.9725,964,733.55Hosp #2 Project Fund68277118 92,156.70 26,504.65 7,093,371.000.007,093,371.00Transit Authority General69000118 26,504.65 51,831.84 13,871,621.690.0013,871,621.69Transit Authority Capital69030118 51,831.84 41.67 11,151.2835.8611,115.42Water Dist #1 General69100118 41.67 85.43 22,862.1873.5322,788.65Water Dist #1 - Capital69163118 85.43 1.87 500.000.00500.00Water Dist #2 General69200118 1.87 553.01 148,000.000.00148,000.00Pt Ludlow Drainage Dist Gen69500118 553.01 26,619,689.50 43,642,164.2019,120,361.0650,995,041.76Treasurer's Cashx999 146,450.88 217,141,786.7838,214,605.6530,807,836.72 800,857.61 Portfolio LGIP CP Run Date: 04/03/2025 - 13:51 LP (PRF_LPF) 7.1.1 Report Ver. 7.3.6.1Page 8 of 16 Jefferson County Invest Pool Portfolio Management March 31, 2025 Jefferson County Portfolio Summary % of Portfolio Book ValueInvestmentsMarket Value Par Value Days to MaturityTerm YTM 360 Equiv. YTM 365 Equiv. Federal Agency Coupon Securities 4,789,945.81 1,68792.79 1.7065154,789,945.814,792,000.00 1.729 Treasury Coupon Securities 372,010.90 1,2637.21 4.2561,161372,010.90400,000.00 4.315 5,161,956.71 100.00%Investments 5,161,956.715,192,000.00 1,656 562 1.889 1.916 Cash and Accrued Interest 5,162,355.06Total Cash and Investments 398.35Subtotal 398.35 5,162,355.065,192,000.00 398.35 398.35 1,656 562 1.889 1.916 Accrued Interest at Purchase Current Year March 31 7,471.23 Average Daily Balance Effective Rate of Return 5,161,956.71 1.70% Total Earnings Month Ending __________________________________________________ ____________________ Stacie Prada, Treasurer Portfolio JCIP CP Reporting period 03/01/2025-03/31/2025 Run Date: 04/01/2025 - 13:41 PM (PRF_PM1) 7.3.0No fiscal year history available Report Ver. 7.3.6.1 4/3/2025 Page 9 of 16 FINANCE REPORTS JCIP Investments by All Types Jefferson County March 31, 2025 Active Investments Par Value Call Price Maturity Date Current Rate Call DateFundCUSIPInvestment #Issuer Remaining CostPurchase Price Fund: General Fund Treasurer Federal Agency Coupon Securities Federal Agricultural Mtg Corp10177001-250-000 1,000,000.0031422XSV5 01/19/2027100.0000000 1.5001,000,000.00 Federal Farm Credit Bank10167001-250-000 1,000,000.003133EMZ21 04/06/2026100.0000000 0.6901,000,000.00 Federal Home Loan Bank10178001-250-000 1,000,000.003130AQHM8 01/27/2027 100.0000000100.0000000 1.500 04/27/20251,000,000.00 Federal Home Loan Bank10179001-250-000 1,000,000.003130AQW25 02/25/2027 100.0000000100.0000000 2.000 05/25/20251,000,000.00 Federal Home Loan Bank10180001-250-000 500,000.003130ARP96 04/28/2025100.0000000 3.000500,000.00 4,500,000.00Subtotal 4,500,000.00 4,500,000.00General Fund Treasurer Subtotal 4,500,000.00 Fund: Fire Dist #2 Capital Projects Federal Agency Coupon Securities Federal Home Loan Bank1018966231118 100,000.003130ATFG7 09/12/202599.4326200 3.87599,432.62 100,000.00Subtotal 99,432.62 Treasury Coupon Securities STIFEL NICOLAUS & CO INC1019366231118 100,000.0091282CDK4 11/30/202694.4373500 1.25094,437.35 STIFEL NICOLAUS & CO INC1019466231118 100,000.0091282CAY7 11/30/202789.9864500 0.62589,986.45 STIFEL NICOLAUS & CO INC1019566231118 100,000.0091282CDL2 11/30/202889.7692600 1.50089,769.26 STIFEL NICOLAUS & CO INC1019666231118 100,000.0091282CFY2 11/30/202997.8178400 3.87597,817.84 400,000.00Subtotal 372,010.90 500,000.00Fire Dist #2 Capital Projects Subtotal 471,443.52 Fund: Library #1 General Fund Federal Agency Coupon Securities Federal Farm Credit Bank1018667600118 60,000.003133ENYE4 12/08/202599.2256167 3.37059,535.37 60,000.00Subtotal 59,535.37 60,000.00Library #1 General Fund Subtotal 59,535.37 Portfolio JCIP CPData Updated: SET_FNCE: 04/01/2025 13:43 Run Date: 04/01/2025 - 13:43 AT (PRF_DT) 7.1.1 Report Ver. 7.3.6.1Page 10 of 16 Par Value Call Price Maturity Date Current Rate Call DateFund Page 2 March 31, 2025 Investments by All Types FINANCE REPORTS JCIP CUSIP Investment #Issuer Remaining CostPurchase Price Fund: Library #1 Capital Asset Fund Federal Agency Coupon Securities Federal Farm Credit Bank1018767632118 132,000.003133ENYE4 12/08/202599.2256212 3.370130,977.82 132,000.00Subtotal 130,977.82 132,000.00Library #1 Capital Asset Fund Subtotal 130,977.82 5,161,956.715,192,000.00Total Portfolio JCIP CPData Updated: SET_FNCE: 04/01/2025 13:43 Run Date: 04/01/2025 - 13:43 AT (PRF_DT) 7.1.1 Report Ver. 7.3.6.1Page 11 of 16 FINANCE REPORTS JCIP Accrued Interest Jefferson County Sorted by Fund - Fund March 1, 2025 - March 31, 2025 Maturity Date Security Type Current Rate Par Value * Beginning Accrued Interest * Ending Accrued Interest Adjusted Acc'd Int. at Purchase During PeriodCUSIPInvestment # Interest Earned Interest Received General Fund Treasurer 1,750.001017731422XSV51,000,000.00 1.500FAC01/19/2027 1,250.00 0.00 3,000.000.00 2,779.17101673133EMZ211,000,000.00 0.690FAC04/06/2026 575.00 0.00 3,354.170.00 1,416.67101783130AQHM81,000,000.00 1.500FAC01/27/2027 1,250.00 0.00 2,666.670.00 333.33101793130AQW251,000,000.00 2.000FAC02/25/2027 1,666.67 0.00 2,000.000.00 5,125.00101803130ARP96500,000.00 3.000FAC04/28/2025 1,250.00 0.00 6,375.000.00 11,404.174,500,000.00Subtotal 17,395.845,991.67 0.000.00 Fire Dist #2 Capital Projects 1,819.10101893130ATFG7100,000.00 3.875FAC09/12/2025 322.91 1,937.50 204.510.00 243.821019391282CDK4100,000.00 1.250TRC11/30/2026 106.46 0.00 350.280.00 121.911019491282CAY7100,000.00 0.625TRC11/30/2027 53.23 0.00 175.140.00 292.581019591282CDL2100,000.00 1.500TRC11/30/2028 127.75 0.00 420.330.00 755.841019691282CFY2100,000.00 3.875TRC11/30/2029 330.01 0.00 1,085.850.00 3,233.25500,000.00Subtotal 2,236.11940.36 1,937.500.00 Library #1 General Fund 466.18101863133ENYE460,000.00 3.370FAC12/08/2025 168.50 0.00 634.680.00 466.1860,000.00Subtotal 634.68168.50 0.000.00 Library #1 Capital Asset Fund 1,025.60101873133ENYE4132,000.00 3.370FAC12/08/2025 370.70 0.00 1,396.300.00 1,025.60132,000.00Subtotal 1,396.30370.70 0.000.00 0.005,192,000.00Total 21,662.937,471.23 1,937.5016,129.20 Portfolio JCIP CPData Updated: SET_FNCE: 04/01/2025 13:43 Run Date: 04/01/2025 - 13:43 AI (PRF_AI) 7.2.8 Report Ver. 7.3.6.1 * Beginning Accrued may not include investments that redeemed in the previous month that had outstanding accrued interest. Page 12 of 16 Jefferson County Positions by Period Outstanding and Closed Debt Service 3/1/2025 to 3/31/2025 Primary Sort Issue Group, Secondary Sort Issue Group [*Selected Issues] Issue Maturity Dates Beginning Balance Bonds Issued Principal Paid Ending Balance Interest Paid Issue Group Dated Date Range of Rates (%) County Debt 2,000,000.00 0.00 0.00 2,000,000.00 0.00Dec/20262024 GAN County Debt 6/3/2024 Variable 1,000,000.00 0.00 0.00 1,000,000.00 0.00Dec/20262024 GAN County Debt 1/2/2025 Variable 898,470.00 0.00 0.00 898,470.00 0.00Dec/2017 - 2030LTGO REFG 2016B - Tri Area County Debt 12/1/2016 1 to 2.48 591,530.00 0.00 0.00 591,530.00 0.00Dec/2017 - 2030LTGO Refg 2016B E911 County Debt 9/15/2016 1 to 2.48 335,477.68 0.00 0.00 335,477.68 0.00Dec/2016 - 2026LTGOR 2016 E911 County Debt 6/16/2016 1.11 to 2.26 1,271,566.01 0.00 0.00 1,271,566.01 0.00Jun/2033Pt Hadlock Wastewater Ln 2012 County Debt 7/28/2013 0.5 Subtotal 6,097,043.69 0.00 0.00 0.00 6,097,043.69 Fire Dist 1 1,900,000.00 0.00 0.00 1,900,000.00 0.00Dec/2020 - 2030LTGO RFDG 2019 Fire Dist 1 9/12/2019 1.05 to 3 455,000.00 0.00 0.00 455,000.00 0.00Dec/2032LTGO RFDG 2019 Fire Dist 1 9/12/2019 3 Subtotal 2,355,000.00 0.00 0.00 0.00 2,355,000.00 Fire Dist 4 766,000.00 0.00 0.00 766,000.00 0.00Jun/2021 - 2030UTGO 2020 Fire Dist 4 1/28/2020 2.09 to 2.58 Subtotal 766,000.00 0.00 0.00 0.00 766,000.00 Fire Dist 5 55,000.00 0.00 0.00 55,000.00 0.00Dec/2017 - 2026ULTGO 2016 Fire Dist 5 5/3/2016 1.1 to 2.5 90,000.00 0.00 0.00 90,000.00 0.00Dec/2029ULTGO 2016 Fire Dist 5 5/3/2016 2.7 100,000.00 0.00 0.00 100,000.00 0.00Dec/2032ULTGO 2016 Fire Dist 5 5/3/2016 2.9 115,000.00 0.00 0.00 115,000.00 0.00Dec/2035ULTGO 2016 Fire Dist 5 5/3/2016 3.1 Subtotal 360,000.00 0.00 0.00 0.00 360,000.00 Hospital Dist 2 6,850,000.00 0.00 0.00 6,850,000.00 0.00Dec/20332023A REVENUE BOND Hospital Dist 2 12/19/2023 5.75 13,510,000.00 0.00 0.00 13,510,000.00 0.00Dec/20432023A REVENUE BOND Hospital Dist 2 12/19/2023 6.625 46,380,000.00 0.00 0.00 46,380,000.00 0.00Dec/20532023A REVENUE BOND Hospital Dist 2 12/19/2023 6.875 25,000,000.00 0.00 0.00 25,000,000.00 0.00Dec/2025 - 20532023BHospital Dist 2 12/19/2023 4.67 Report on : \Selected Issues - Sympro_Jefferson1.ARCGIS-DB 1:29:38PM04/01/2025 1Page PBP - Build 2.99.9981Page 13 of 16 Jefferson County Positions by Period Outstanding and Closed Debt Service 3/1/2025 to 3/31/2025 Primary Sort Issue Group, Secondary Sort Issue Group [*Selected Issues] Issue Maturity Dates Beginning Balance Bonds Issued Principal Paid Ending Balance Interest Paid Issue Group Dated Date Range of Rates (%) 21,650,000.00 0.00 0.00 21,650,000.00 0.00Dec/2025 - 20442023CHospital Dist 2 12/19/2023 4.69 948,000.00 0.00 0.00 948,000.00 0.00Jul/2025GOB 2017A Hospital Dist 2 7/26/2017 2.89 4,564,300.00 0.00 0.00 4,564,300.00 0.00Jul/2025GOB 2017B Hospital Dist 2 7/26/2017 2.89 Subtotal 118,902,300.00 0.00 0.00 0.00 118,902,300.00 Port of Port Townsend 365,000.00 0.00 0.00 365,000.00 0.00Dec/2015 - 2025LTGO 2010A Port of Port Townsend 6/9/2010 4 to 4.5 1,630,000.00 0.00 0.00 1,630,000.00 0.00Dec/2029LTGO 2010B Port of Port Townsend 6/9/2010 6.125 240,653.63 47,439.93 1,865.07 193,213.70 0.00Mar/2027LTGO 2021 Port of Port Townsend 10/10/2023 1.55 717,574.40 141,451.80 5,561.20 576,122.60 0.00Mar/2027LTGO 2021 Port of Port Townsend 11/6/2023 1.55 943,586.88 186,005.20 7,312.80 757,581.68 0.00Mar/2027LTGO 2021 Port of Port Townsend 12/12/2023 1.55 635,212.66 125,216.60 4,922.90 509,996.06 0.00Mar/2027LTGO 2021 Port of Port Townsend 1/19/2024 1.55 710,188.91 139,996.54 5,503.96 570,192.37 0.00Mar/2027LTGO 2021 Port of Port Townsend 2/28/2024 1.55 535,000.00 0.00 0.00 535,000.00 0.00Jul/2016 - 2025LTGOR 2015 Port of Port Townsend 6/10/2015 3 Subtotal 5,777,216.48 640,110.07 0.00 25,165.93 5,137,106.41 School District #50 26,185,000.00 0.00 0.00 26,185,000.00 0.00Dec/2017 - 2035UTGO 2016 School District #50 6/1/2016 2 to 5 Subtotal 26,185,000.00 0.00 0.00 0.00 26,185,000.00 Grand Total 160,442,560.17 640,110.07 0.00 25,165.93 159,802,450.10 Report on : \Selected Issues - Sympro_Jefferson1.ARCGIS-DB 1:29:38PM04/01/2025 2Page PBP - Build 2.99.9981Page 14 of 16 Jefferson County Statement of 30 Years - Calendar Year Mode Outstanding and Closed Debt Service As of 3/31/2025 Primary Sort Issue Group [*Selected Issues] 2054 2050 2045 2049 2044 2040 2035 2039 2030 2034 2029 2028 2027 2025 Total 2026 County Debt 493,203.31 0.00 0.00 0.00 0.00 24,489.52 17,970.36 24,034.35 29,713.35 200,540.67 INTEREST 196,455.06 6,097,043.69 0.00 0.00 0.00 0.00 1,247,573.74 312,798.45 307,798.45 302,798.46 457,270.67 PRINCIPAL 3,468,803.92 Fire Dist 1 236,670.00 0.00 0.00 0.00 0.00 38,800.00 26,850.00 36,450.00 40,790.00 48,872.50 INTEREST 44,907.50 2,355,000.00 0.00 0.00 0.00 0.00 790,000.00 325,000.00 320,000.00 310,000.00 305,000.00 PRINCIPAL 305,000.00 Fire Dist 4 62,246.07 0.00 0.00 0.00 0.00 2,586.45 5,938.45 9,098.55 12,086.67 17,613.70 INTEREST 14,922.25 766,000.00 0.00 0.00 0.00 0.00 134,000.00 132,000.00 129,000.00 126,000.00 121,000.00 PRINCIPAL 124,000.00 Fire Dist 5 68,095.00 0.00 0.00 0.00 1,240.00 22,685.00 7,275.00 8,085.00 8,895.00 10,270.00 INTEREST 9,645.00 360,000.00 0.00 0.00 0.00 40,000.00 175,000.00 30,000.00 30,000.00 30,000.00 25,000.00 PRINCIPAL 30,000.00 Hospital Dist 2 129,382,708.23 4,775,673.30 14,706,915.68 21,464,591.34 26,208,554.50 29,752,353.60 6,288,257.28 6,388,451.96 6,483,703.94 6,740,075.17 INTEREST 6,574,131.46 118,902,300.00 28,754,992.00 27,211,338.00 20,352,811.00 15,594,111.00 12,052,224.00 2,075,901.00 1,976,819.00 1,880,379.00 7,217,261.00 PRINCIPAL 1,786,464.00 Port of Port Townsend 432,467.45 0.00 0.00 0.00 0.00 0.00 26,337.50 51,756.26 81,699.85 145,796.13 INTEREST 126,877.71 5,137,106.41 0.00 0.00 0.00 0.00 0.00 430,000.00 415,000.00 1,059,827.24 1,543,767.37 PRINCIPAL 1,688,511.80 School District #50 8,018,500.00 0.00 0.00 0.00 159,250.00 2,798,650.00 865,475.00 948,075.00 1,016,500.00 1,158,400.00 INTEREST 1,072,150.00 26,185,000.00 0.00 0.00 0.00 3,185,000.00 13,205,000.00 2,195,000.00 2,065,000.00 1,955,000.00 1,725,000.00 PRINCIPAL 1,855,000.00 298,496,340.16 33,530,665.30 13,337,393.51 19,715,867.21 17,296,868.70 41,918,253.68 41,817,402.34 45,188,155.50 60,243,362.31 12,738,803.04 12,709,568.57 Principal Total Grand Total Interest Total 8,321,568.17 8,039,088.98 7,673,388.81 7,465,951.12 32,639,564.57 7,238,103.59 26,369,044.50 21,464,591.34 14,706,915.68 4,775,673.30 11,394,299.04 9,257,779.72 5,664,004.70 5,243,617.45 5,500,699.45 27,603,797.74 18,819,111.00 20,352,811.00 27,211,338.00 28,754,992.00 138,693,890.06 159,802,450.10 1Page04/01/2025 1:31:08PM Report on : \Selected Issues - Sympro_Jefferson1.ARCGIS-DB STY - Build 2.99.9981Page 15 of 16 Jefferson County General Obligation Debt 3/31/2025 JC or JeffCom DataJeffCom JC Total Sum of Principal Due Total Sum of Interest DueDate Due Sum of Principal Due Sum of Interest Due Sum of Principal Due Sum of Interest Due 6/1/2025 10,382.37 57,798.46 90,636.05 57,798.46 101,018.42 12/1/2025 257,767.21 10,382.37 141,705.00 89,139.88 399,472.21 99,522.25 6/1/2026 7,693.13 57,798.45 93,353.06 57,798.45 101,046.19 12/1/2026 266,285.47 7,693.13 3,144,720.00 87,715.74 3,411,005.47 95,408.87 6/1/2027 4,750.80 57,798.46 12,995.80 57,798.46 17,746.60 12/1/2027 97,265.00 4,750.80 147,735.00 7,215.95 245,000.00 11,966.75 6/1/2028 3,680.89 57,798.45 11,081.71 57,798.45 14,762.60 12/1/2028 99,250.00 3,680.89 150,750.00 5,590.86 250,000.00 9,271.75 6/1/2029 2,534.55 57,798.45 9,051.56 57,798.45 11,586.11 12/1/2029 101,235.00 2,534.55 153,765.00 3,849.70 255,000.00 6,384.25 6/1/2030 1,304.54 57,798.46 6,894.33 57,798.46 8,198.87 12/1/2030 105,205.00 1,304.54 159,795.00 1,981.46 265,000.00 3,286.00 6/1/2031 57,798.46 4,623.88 57,798.46 4,623.88 6/1/2032 57,798.45 4,334.88 57,798.45 4,334.88 6/1/2033 809,178.37 4,045.89 809,178.37 4,045.89 Grand Total 927,007.68 60,692.56 5,170,036.01 432,510.75 6,097,043.69 493,203.31 - 500,000.00 1,000,000.00 1,500,000.00 2,000,000.00 2,500,000.00 3,000,000.00 3,500,000.00 4,000,000.00 JC - Sum of Interest Due JC - Sum of Principal Due JeffCom - Sum of Interest Due JeffCom - Sum of Principal Due JC or JeffCom Values Date Due Sum of Principal DueSum of Interest Due Page 16 of 16