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HomeMy WebLinkAboutReports - 2019.02.28 - 31258<CBDoc TenantId="2" EntityTypeId="3100" EntityId="2905" DocumentTypeId="2" EffectiveDate="02/28/2019" Interval="1" /> Investment Performance Review Period Ending February 28, 2019 March 21, 2019 Preliminary Oakland County ERS Superseding Trust Monthly Flash Report Market Update Russell Indices Style Returns Equities Month 3 M YTD 1 Year 3 Yr Ann 5 Yr Ann V B G V B G S&P 500 Total Return 3.21 1.42 11.48 4.68 15.28 10.66 Russell Midcap Index 4.29 4.07 15.54 5.61 14.45 8.54 Russell 2000 Index 5.19 3.11 17.02 5.54 16.65 7.34 Russell 1000 Growth Indx 3.58 3.18 12.89 6.62 17.99 12.62 Russell 1000 Value Index 3.19 0.54 11.23 3.15 12.79 8.08 Russell 3000 Index 3.52 1.94 12.40 5.04 15.52 10.14 MSCI EAFE NR 2.55 3.98 9.29 (6.04)9.32 2.07 MSCI EM NR 0.22 6.11 9.00 (9.89)15.04 4.13 Fixed Income Month 3 M YTD 1 Year Mod. Adj. Duration Yield to Worst Currencies 02/28/19 12/31/18 12/31/17 U.S. Aggregate (0.06)2.86 1.00 3.17 5.91 3.21 Euro Spot 1.14 1.15 1.20 U.S. Corporate Investment Grade 0.22 4.08 2.57 2.63 7.25 3.91 British Pound Spot 1.33 1.28 1.35 U.S. Corporate High Yield 1.66 3.98 6.26 4.31 3.52 6.54 Japanese Yen Spot 111.39 109.69 112.69 Global Aggregate (0.58)2.98 0.94 (0.57)6.99 1.96 Swiss Franc Spot 1.00 0.98 0.97 Key Rates 02/28/19 12/31/18 12/31/17 12/31/16 12/31/15 Commodities 02/28/19 12/31/18 12/31/17 3 Month 2.43 2.35 1.38 0.50 0.16 Oil 57.22 46.08 56.79 US 2 Year 2.51 2.49 1.88 1.19 1.05 Gasoline 2.42 2.26 2.49 US 10 Year 2.72 2.68 2.41 2.44 2.27 Natural Gas 2.81 2.68 2.69 US 30 Year 3.08 3.01 2.74 3.07 3.02 Gold 1,316.10 1,287.70 1,187.30 ICE LIBOR USD 3M 2.63 2.81 1.69 1.00 0.61 Silver 15.63 15.63 16.50 Euribor 3 Month ACT/360 (0.31)(0.31)(0.33)(0.32)(0.13)Copper 294.80 263.70 336.40 Bankrate 30Y Mortgage Rates Na 4.40 4.51 3.85 4.06 3.90 Corn 370.75 383.00 399.25 Prime 5.50 5.50 4.50 3.75 3.50 BBG Commodity TR Idx 170.12 159.72 179.96 -12.9 -12.3 -9.1 -4.8 Levels (%)Levels -11.0 -9.3 YTD 2018 Index Returns (%)Levels S 15.2 17.0 18.7 S M 13.8 15.5 18.0 M February 28, 2019 Index Returns (%) L 11.2 12.0 12.9 L -8.3 -4.8 -1.5 18.6 14.3 14.0 12.0 11.5 11.5 11.3 11.2 9.0 7.7 7.6 6.1 0.0 2.0 4.0 6.0 8.0 10.0 12.0 14.0 16.0 18.0 20.0 YTD Sector Returns 6.5 4.1 0.8 -0.3 -2.2 -4.4 -8.4 -12.5 -13.0 -13.3 -14.7 -18.1-20.0 -15.0 -10.0 -5.0 0.0 5.0 10.0 2018 Sector Returns Page 1 Executive Summary Policy Target In Policy 0.0%15.0%30.0%45.0%60.0%75.0%90.0%100.0% Total Fixed Income Composite (38.8%) Total Equity Composite (61.2%) Asset Allocation Compliance Asset Allocation $ Current Allocation (%) Target Allocation (%) Target Rebal. ($000) Total Fund Composite 13,833,607 100.0 100.0 - Total Equity Composite 8,464,337 61.2 60.0 -164,173 Total Fixed Income Composite 5,369,270 38.8 40.0 164,173 Asset Allocation Compliance Oakland County Employees' Retirement System Total Fund Composite As of February 28, 2019 Page 2 January 31, 2019 : $13,567,594 February 28, 2019 : $13,833,607 Allocation Market Value Allocation SSgA S&P 500 8,201,446 60.4¢ CS McKee 5,366,148 39.6¢ Allocation Market Value Allocation SSgA S&P 500 8,464,337 61.2¢ CS McKee 5,369,270 38.8¢ Asset Allocation By Manager Total Fund Composite As of February 28, 2019 Page 3 Financial Reconciliation Month to Date Market Value 01/01/2019 Net Transfers Contributions Distributions Management Fees Other Expenses Income Apprec./ Deprec. Market Value 02/28/2019 Total Fund Composite 12,893,018 ----135 -31,509 909,214 13,833,607 Total Equity Composite 7,592,913 ----135 --871,559 8,464,337 SSgA S&P 500 7,592,913 ----135 --871,559 8,464,337 Total Fixed Income Composite 5,300,105 -----31,509 37,655 5,369,270 CS McKee 5,300,105 -----31,509 37,655 5,369,270 Financial Reconciliation Total Fund Quarter To Date Ending February 28, 2019 Page 4 Asset Allocation & Performance Allocation Market Value $ % Performance(%) MTH QTD FYTD YTD 1 YR 3 YR 5 YR 7 YR Inception Inception Date Total Fund Composite 13,833,607 100.0 1.96 7.30 -1.25 7.30 4.01 10.00 N/A N/A 6.58 04/01/2015 Total Fund Policy Index 1.90 7.24 -0.87 7.24 4.40 9.83 N/A N/A 6.83 Total Equity Composite 8,464,337 61.2 3.21 11.48 -3.59 11.48 4.66 15.26 N/A N/A 9.96 06/01/2015 S&P 500 Index 3.21 11.48 -3.59 11.48 4.68 15.28 10.67 13.06 9.97 SSgA S&P 500 (1.5 bps)8,464,337 61.2 3.21 11.48 -3.59 11.48 4.66 15.26 N/A N/A 9.96 06/01/2015 S&P 500 Index 3.21 11.48 -3.59 11.48 4.68 15.28 10.67 13.06 9.97 Total Fixed Income Composite 5,369,270 38.8 0.06 1.31 2.69 1.31 3.45 2.01 N/A N/A 2.01 04/01/2015 Blmbg. Barc. U.S. Aggregate Index -0.06 1.00 2.66 1.00 3.17 1.69 2.32 2.12 1.56 CS McKee (35 bps)5,369,270 38.8 0.06 1.31 2.69 1.31 3.45 2.01 N/A N/A 2.01 04/01/2015 Blmbg. Barc. U.S. Aggregate Index -0.06 1.00 2.66 1.00 3.17 1.69 2.32 2.12 1.56 Asset Allocation & Performance Total Fund Composite As of February 28, 2019 Page 5 Disclosures AndCo compiled this report for the sole use of the client for which it was prepared. AndCo is responsible for evaluating the performance results of the Total Fund along with the investment advisors by comparing their performance with indices and other related peer universe data that is deemed appropriate. AndCo uses the results from this evaluation to make observations and recommendations to the client. AndCo uses time-weighted calculations which are founded on standards recommended by the CFA Institute. The calculations and values shown are based on information that is received from custodians. AndCo analyzes transactions as indicated on the custodian statements and reviews the custodial market values of the portfolio. As a result, this provides AndCo with a reasonable basis that the investment information presented is free from material misstatement. This methodology of evaluating and measuring performance provides AndCo with a practical foundation for our observations and recommendations. Nothing came to our attention that would cause AndCo to believe that the information presented is significantly misstated. This performance report is based on data obtained by the client’s custodian(s), investment fund administrator, or other sources believed to be reliable. While these sources are believed to be reliable, the data providers are responsible for the accuracy and completeness of their statements. Clients are encouraged to compare the records of their custodian(s) to ensure this report fairly and accurately reflects their various asset positions. The strategies listed may not be suitable for all investors. We believe the information provided here is reliable, but do not warrant its accuracy or completeness. Past performance is not an indication of future performance. Any information contained in this report is for informational purposes only and should not be construed to be an offer to buy or sell any securities, investment consulting, or investment management services. Additional information included in this document may contain data provided by from index databases, public economic sources and the managers themselves. This document may contain data provided by Bloomberg Barclays. Bloomberg Barclays Index data provided by way of Barclays Live. This document may contain data provided by Standard and Poor’s. Nothing contained within any document, advertisement or presentation from S&P Indices constitutes an offer of services in jurisdictions where S&P Indices does not have the necessary licenses. 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