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Statement of Changes in Investment Assets - Quarter Ended November 30, 2024

Blinn College District
Statement of Changes in Investment Assets
Quarter Ended November 30, 2024
Book Value Market Value
Beginning Investment Assets 8/31/2024 $127,181,364.81 $127,181,364.81
Receipts/Contributions
Investment Income 379,156,140.38 379,156,140.38
Distributions 1,406,680.01 1,406,680.01
(406,547,463.59) (406,547,463.59)
Ending Investment Assets 11/30/2024 $101,196,721.61 $101,196,721.61
This Investment Report is Submitted By:
Dr. Mary Hensley, Chancellor
Dr. Clen Burton, Vice Chancellor Business and Finance/CFO
Vicki Ward, Assistant Vice Chancellor Business and Finance
Blinn College District (Agency 954)
Quarterly Investment Report (Including Deposits)
Investment or Deposit Type November 30, 2024 Market Value
Publicly Traded Equity and Similar Investments
Common Stock (U.S. and foreign stocks held in separately managed accounts or internally managed by institution investment staff; exclude mutual or commingled funds)
Equity/Stock Mutual Funds
Balanced Mutual Funds (where target allocation is > 50% equities)
"Commonfund" Equity Commingled Funds
Other Equity Commingled Funds (if primarily invested in publicly traded equities)
Preferred Stock
Other - list by type
Total Publicly Traded Equity and Similar Investments $-
"Other" Investments - Other than Publicly Traded Equity and Debt Investments
Real Estate (include direct ownership & investments in real estate limited partnerships, private REITs, or similar vehicles; include a portfolio of publicly traded REITs if managed as a separate asset allocation category rather than comprising part of a broadly diversified stock portfolio)
Other Real Asset Investments (e.g. investments in infrastructure funds)
Private Equity
Hedge Funds
"Commonfund" Alternative Asset Commingled Funds (Real Estate, Private Equity, Hedge Funds, Commodities, etc.)
Annuities
Commodities
Collectibles
Other - Blue Bell Creameries, L.P. $396,000.00
Total "Other" Investments - Other than Publicly Traded Equity & Debt Investments $396,000.00
Publicly Traded Debt & Similar Investments>1 year maturity
U.S. Government Securities ("Treasuries")
U.S. Government Agency Securities ("Agencies") $454,857.11
Mortgage Pass-Throughs - "Agency"
Mortgage Pass-Throughs - "Private Label"
Asset-Backed Securities (ABS) (other than mortgage-backed securities)
Sovereign Debt (non-U.S.)
Municipal Obligations
Collateralized Mortgage Obligations (CMOs) - list below by category
Interest Only Strips (IOs)
Principal Only Strips (POs)
Inverse Floaters
Stated Final Maturity longer than 10 years
Other CMOs - "Agency"
Other CMOs - "Private Label"
Corporate Obligations (U.S. or foreign companies) - list below by rating
Highly Rated (AAA/AA or equivalent)
Other Investment Grade (A/BBB or equivalent)
High Yield Bonds (<BBB or equivalent)
Not Rated (NR)
Fixed Income/Bond Mutual Funds (longer term; registered with the SEC)
Balanced Mutual Funds (where target allocation is > 50% bonds or other debt securities)
"Commonfund" Fixed Income/Bond Commingled Funds
Other Fixed Income/Bond Commingled Funds (primarily invested in publicly traded debt securities; not registered with the SEC)
GICs (Guaranteed Investment Contracts)
Other - list by type
Total Publicly Traded Debt & Similar Investments >1 year $454,857.11
Short-Term Investments & Deposits
U.S. Government Securities ("Treasuries")
U.S. Government Agency Securities ("Agencies")
Bankers' Acceptances
Commercial Paper - A1/P1 (or equivalent)
Other Commercial Paper - lower rated
Repurchase Agreements (Repos)
Money Market Mutual Funds (registered with the SEC)
Short-Term Mutual Funds Other than Money Market Mutual Funds (registered with the SEC)
Public Funds Investment Pool Created to Function as a Money Market Mutual Fund (not registered w/ SEC but "2a7-like")
TexPool (and TexPool Prime) $2,287,445.75
Other Public Funds Investment Pools Functioning as Money Market Mutual Funds $30,628,232.88
Other Investment Pools - Short-Term (not created to function as a money market mutual fund)
Certificates of Deposit (CD) - Nonnegotiable $25,992,544.78
Certificates of Deposit (CD) - Negotiable
Bank Deposits $8,485,888.80
Cash Held at State Treasury
Securities Lending Collateral Reinvestments (direct investments or share of pooled collateral)
Other Money Market Funds $32,945,062.79
Other - Petty Cash $6,689.50
Total Short-Term Investments & Deposits $100,345,864.50
TOTAL INVESTMENTS and DEPOSITS $101,196,721.61
Broken Aria Reference
Quarter Ended November 30, 2024