University of Houston System Investment Report First Quarter Report FY 2016 September, 2015 – November, 2015 Investment questions should be directed to: Roberta Puryear, Treasurer Phone: 713-743-8780 Fax: 713-743-8795 rdpuryea@central.uh.edu Mail Code: TREAS 2009 Building: Ezekiel W. Cullen Building, Room 2 P.O. Box 988 Houston, Texas 77001-0988 University of Houston System Investment Report Contents Page Summary 3 University of Houston System Endowment Fund …………………………………………………………………………. Consolidated Non-Endowed Pooled Funds ……………………………………………… Consolidated Revenue & Refunding Bonds, Series 2008 Project Fund ……………….. Consolidated Revenue & Refunding Bonds, Series 2008 Debt Service Fund …………. Consolidated Revenue & Refunding Bonds, Series 2009 Project Fund ……………….. Consolidated Revenue & Refunding Bonds, Series 2009 Debt Service Fund ………… Consolidated Revenue & Refunding Bonds, Series 2011A Project Fund ……………... Consolidated Revenue & Refunding Bonds, Series 2011A Debt Service Fund ……….. Consolidated Revenue & Refunding Bonds, Series 2013A Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2013A Debt Service Fund ………. Consolidated Revenue & Refunding Bonds, Series 2013B Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2013B Debt Service Fund ………. Commercial Paper Notes, Series A Proceeds Account …………….…………………… Cash Sweep Account ……………………………………………………………………… 4 6 8 10 12 14 16 18 20 22 24 26 28 30 University of Houston – System Administration Non-Endowed Pooled Funds …………………………………………………………..… 32 University of Houston Non-Endowed Pooled Funds …………………………………………………………..… Consolidated Revenue Variable Rate Demand Bonds, Series 2004 Debt Service Fund Consolidated Revenue Bonds, Series 2005 Debt Service Fund ……………………...… Consolidated Revenue & Refunding Bonds, Series 2009A Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2009A Debt Service Fund ………. Consolidated Revenue & Refunding Bonds, Series 2010A Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2010A Debt Service Fund ………. Consolidated Revenue & Refunding Bonds, Series 2010B Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2010B Debt Service Fund ………. Consolidated Revenue & Refunding Bonds, Series 2010C Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2010C Debt Service Fund ………. Consolidated Revenue & Refunding Bonds, Series 2011B Project Fund …………….. Consolidated Revenue & Refunding Bonds, Series 2011B Debt Service Fund ………. 34 36 38 40 42 44 46 48 50 52 54 56 58 University of Houston – Clear Lake Non-Endowed Pooled Funds …………….…………….………………………………… 60 University of Houston – Downtown Non-Endowed Pooled Funds …………………………………………………………..… Consolidated Revenue & Refunding Bonds, Series 2006 Debt Service Fund ………… 62 64 University of Houston – Victoria Non-Endowed Pooled Funds …………………………………………………………..… 66 University of Houston System Summary Statement of Invested Funds and Bank Deposits As of November 30, 2015 Market Value Endowment Fund $ 597,681,018 Non-Endowed Funds Morgan Stanley Treasury Security Fund - UH 145,963,190 Morgan Stanley Treasury Security Fund - UH Clear Lake 17,074,740 Morgan Stanley Treasury Security Fund - UH Downtown 13,784,147 Morgan Stanley Treasury Security Fund - UH Victoria 2,488,437 Morgan Stanley Treasury Security Fund - UH System Administration 15,349,810 BOA U.S. Treasury Sweep 20,934,613 Funds on Deposit at Banks 254,267 Funds on Deposit at State Treasury 50,567,571 Enhanced Cash Account - System-wide Pool 219,551,551 Total Non-Endowed Funds 485,968,325 Bond Proceeds Project Funds Consolidated Revenue & Refunding Bonds, Series 2009 Project Fund 2,257,600 Consolidated Revenue & Refunding Bonds, Series 2009A Project Fund 1,582,371 Consolidated Revenue & Refunding Bonds, Series 2010A Project Fund 35,236 Consolidated Revenue & Refunding Bonds, Series 2010B Project Fund 3,811,496 Consolidated Revenue & Refunding Bonds, Series 2010C Project Fund - Consolidated Revenue & Refunding Bonds, Series 2011A Project Fund 6,305,418 Consolidated Revenue & Refunding Bonds, Series 2011B Project Fund 892,494 Consolidated Revenue & Refunding Bonds, Series 2013A Project Fund 478,294 Consolidated Revenue & Refunding Bonds, Series 2013B Project Fund 33,105,110 Commercial Paper Notes, Series A Proceeds Account 32,659,088 Total Bond Proceeds Project Funds 81,127,105 Debt Service Funds Consolidated Revenue Variable Rate Demand Bonds, Series 2004 Debt Svs Fund 3 Consolidated Revenue Bonds, Series 2005 Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2006 Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2008 Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2009 Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2009A Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2010A Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2010B Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2010C Debt Service Fund - Consolidated Revenue & Refunding Bonds, Series 2011A Debt Service Fund Consolidated Revenue & Refunding Bonds, Series 2011B Debt Service Fund 0 - Consolidated Revenue & Refunding Bonds, Series 2013A Debt Service Fund Consolidated Revenue & Refunding Bonds, Series 2013B Debt Service Fund 0 - Total Debt Service Funds 3 Total Invested Funds and Bank Deposits $ Page 3 1,164,776,452 University of Houston System Endowment Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 4 593,674,492 4,944,019 1,228,012 (789,311) 2,456,276 (3,832,470) $ 597,681,018 University of Houston System Endowment Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations $ US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 20,376,199 0 0 20,376,199 0 0 0 Foreign Government Obligations Dollar Denominated Municipal and County Bonds Corporate Bonds Mutual Funds Other (asset backed securities, etc.) Total Debt Securities 714,153 25,758,700 0 46,849,052 Equity Securities Common Stock and Other Equities Preferred Stock Index Funds Mutual Funds Other - Alternative Investments Total Equity Securities 52,727,595 82,261,466 382,435,174 517,424,235 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other (asset backed securities, etc.) Total Short Term Securities 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 32,855,804 32,855,804 Land 110,749 Total Investments Net Receivables (Payables) 597,239,839 441,179 Total Assets $ Total Rate of Return (quarter ending 11/30/15) 597,681,018 -0.1% Page 5 University of Houston System Consolidated Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Begginning Investment Assets August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Invesement Assest November 30, 2015 Page 6 $ $ $ $ $ $ $ 218,972,265 841,332 (38,750) (427,424) 219,347,423 University of Houston System Consolidated Non-Endowed Pooled Funds Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other – TLGP securities Total US governmental Obligations $ 131,578,148 131,578,148 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 14,082,155 0 14,082,155 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 4,959,431 58,777,903 209,397,637 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities - Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other - Municipal and County Bonds Total Short Term Securities 9,025,662 9,025,662 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 2,023,408 2,023,408 Total Investments Net Receivables (Payables) $ 220,446,707 (1,099,285) Total Assets $ 219,347,423 Total Rate of Return (quarter ending 11/30/15) 0.1% Page 7 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2008 Project Fund Statement of Changes in Investment Assets Quarter Ended November 30,2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH Calhoun Lofts UH East Parking Garage (tranche 1) UH MacGregor Park UHV Allied Health & Regional Economic Development Building UHS Sugar Land Building $ 41 $ (41) $ - $ $ Page 8 95,058,621 9,000,000 (163,581) 8,519,400 10,690,155 123,104,595 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2008 Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 9 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2008 Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 10 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2008 Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 11 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009 Project Fund Statement of Changes in Investment Assets for Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH Science Labs Renovation UH North End Zone Facility UH East Parking Garage (tranche 2) UH Bayou Oaks UHCL Arbor Renovation $ 2,257,052 $ 548 $ 2,257,600 $ 57,600,000 15,700,000 9,000,000 18,708,071 10,604,808 111,612,879 $ Page 12 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009 Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 2,257,600 0 2,257,600 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 2,257,600 0.0% Page 13 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009 Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 14 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009 Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 15 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011A Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH - UC Phase 1 & 2 (2011A) UH - Cougar Place Replacement (2011A) UH - Cougar Village 2 (2011A) UH - Parking Garage 1A (2011A) UHV - Residential Housing (2011A) $ 6,303,888 $ 1,530 $ 6,305,418 $58,312,063 45,000,000 49,150,000 20,000,000 10,450,000 $182,912,063 Page 16 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011A Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 6,305,418 0 6,305,418 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 6,305,418 0.0% Page 17 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011A Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2016 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 18 0 - $ 0 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011A Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0 0.0% Page 19 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013A Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) 478,178 116 - Ending Investment Assets - November 30, 2015 $ 478,294 Major Projects Funded: UHD - faculty & staff parking garage UHV - land acquisition (prior Casa del Rio & Arlington Apts.) Partial refunding series 2003, 2005, and 2006 Refund commercial paper Total $ $ $ $ $ 6,035,000 3,965,000 30,110,000 10,045,000 50,155,000 Page 20 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013A Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 478,294 0 478,294 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 478,294 0.0% Page 21 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013A Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 22 0 - $ 0 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013A Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0 0.0% Page 23 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013B Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31,2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) 33,097,075 8,034 Ending Investment Assets - November 30, 2015 $ 33,105,109 Major Projects Funded: UH - football stadium UH - Mulitdisciplinary Research & Engineering building UHV - taxable portion of land acquisition (see 2013A for property details) Refund commercial paper - taxable portion Total $ $ $ $ $ 58,705,000 40,945,000 1,220,000 1,550,000 102,420,000 Page 24 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013B Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 33,105,109 0 33,105,109 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 33,105,109 0.0% Page 25 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013B Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 26 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2013B Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 27 University of Houston System Commercial Paper Notes, Series A Proceeds Account Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 28 32,651,162 7,926 - $ 32,659,088 University of Houston System Commercial Paper Notes, Series A Proceeds Account Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 32,659,088 0 32,659,088 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 32,659,088 0.0% Page 29 University of Houston System UH System Cash Sweep Account Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Net Change Investment Income Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 30 23,328,911 (2,394,783) 484 $ 20,934,613 University of Houston System UH System Cash Sweep Account Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 20,934,613 0 20,934,613 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 20,934,613 0.0% Page 31 University of Houston System Administration Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30,2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 32 $ 14,440,470 $ $ $ 22,000,000 361 (21,001,058) $ 15,439,773 University of Houston System Administration Non-Endowed Pooled Funds Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other - Municipal and County Bonds Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 15,439,773 0 15,439,773 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 15,439,773 0.0% Page 33 University of Houston Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30,2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 34 $ 178,963,240 $ $ $ 113,000,000 4,938 (146,004,989) $ 145,963,190 University of Houston Non-Endowed Pooled Funds Summary of Investments As of November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other - Municipal and County Bonds Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 145,963,190 0 145,963,190 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 145,963,190 0.0% Page 35 University of Houston System Consolidated Revenue Variable Rate Demand Bonds, Series 2004 Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 36 $ 3 170 (170) 3 University of Houston System Consolidated Revenue Variable Rate Demand Bonds, Series 2004 Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 3 0 3 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 3 0.0% Page 37 University of Houston System Consolidated Revenue Bonds, Series 2005 Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31,2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 38 - $ - University of Houston System Consolidated Revenue Bonds, Series 2005 Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 39 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009A Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - August 31, 2015 Major Projects Funded: UH Undergraduate Housing Page 40 $ 1,581,987 $ 384 $ 1,582,371 $ $ 50,000,000 50,000,000 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009A Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 1,582,371 0 1,582,371 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 1,582,371 0.0% Page 41 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009A Debt Service Fund Statement of Changes in Investment Assets Quarter Ended Novmeber 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 42 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2009A Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 43 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010A Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - August 31, 2015 Major Projects Funded: UH Moody Towers - Dining Hall (Taxable) Page 44 $ 35,227 $ 9 $ 35,236 $ $ 8,960,560 8,960,560 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010A Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 35,236 0 35,236 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 35,236 0.0% Page 45 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010A Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 46 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010A Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 47 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010B Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH Classroom / Business Building UH Moody Towers - Dining Hall UH Science Building UH Stadium Garage 1 925 $ 3,811,495 $ 19,753,644 1,551,359 31,200,998 8,255,338 60,761,339 $ Page 48 3,810,570 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010B Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 3,811,495 0 3,811,495 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 3,811,495 0.0% Page 49 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010B Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 50 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010B Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 51 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010C Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH Classroom / Business Building UH Moody Towers - Dining Hall UH Science Building UH Stadium Garage 1 - $ $ $ Page 52 - - 6,246,356 488,081 5,799,002 2,044,662 14,578,101 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010C Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) Page 53 - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010C Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 31, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 54 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2010C Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 55 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011B Project Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31,2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Major Projects Funded: UH - University Center Phrase 1 & 2 $ 892,278 $ 217 $ 892,495 $16,261,187 $16,261,187 Page 56 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011B Project Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 892,495 0 892,495 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 892,495 0.0% Page 57 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011B Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 58 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2011B Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 0.0% Page 59 University of Houston Clear Lake Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 60 $ 19,075,679 $ $ $ 11,000,000 486 (13,001,305) $ 17,074,860 University of Houston Clear Lake Non-Endowed Pooled Funds Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other - Municipal and County Bonds Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 17,074,860 0 17,074,860 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 17,074,860 0.0% Page 61 University of Houston Downtown Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30,2015 Market Value Beginning Investment Assets - August 31, 2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 62 $ 19,285,983 $ $ $ 17,000,000 465 (22,501,305) $ 13,785,143 University of Houston Downtown Non-Endowed Pooled Funds Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other - Municipal and County Bonds Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 13,785,143 0 13,785,143 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 13,785,143 0.0% Page 63 University of Houston System Consolidated Revenue & Refunding Bonds, Series 2006 Debt Service Fund Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31, 2015 $ Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 64 - $ - University of Houston System Consolidated Revenue & Refunding Bonds, Series 2006 Debt Service Fund Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other- Fixed Rate Repurchase Agreement Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 0 0 0 Total Investments $ Total Rate of Return (quarter ending 11/30/15) \ 0.0% Page 65 University of Houston Victoria Non-Endowed Pooled Funds Statement of Changes in Investment Assets Quarter Ended November 30, 2015 Market Value Beginning Investment Assets - August 31,2015 Receipts/Contributions Investment Income Distributions Net Realized Gains (Losses) Changes in Net Unrealized Appreciation (Depreciation) Ending Investment Assets - November 30, 2015 Page 66 $ 6,489,283 $ $ $ 4,000,000 82 (8,000,822) $ 2,488,543 University of Houston Victoria Non-Endowed Pooled Funds Summary of Investments At November 30, 2015 Market Value Long Term Securities Debt Securities US Government Obligations Direct Treasuries Guaranteed Mortgage Backed Guaranteed Other Total US governmental Obligations 0 0 0 0 US Government Agencies (Non- Gtd.) Mortgage Backed Other Total US Gov't Agencies (Non- Gtd.) 0 0 0 Foreign Government Obligations Municipal and County Bonds Corporate Bonds Other Total Debt Securities 0 0 0 0 0 Equity Securities Common Stock and Other Equities Index Funds Mutual Funds Other - Partnerships Total Equity Securities 0 0 0 0 0 Short Term Securities US Government (Direct & Guaranteed) US Government Agencies (Non-Gtd.) Corporate Bonds TexPool Other Total Short Term Securities 0 0 0 0 0 0 Cash and Cash Equivalents Cash Held at State Treasury Money Markets Commercial Paper Total Cash and Cash Equivalents 0 2,488,543 0 2,488,543 Total Investments $ Total Rate of Return (quarter ending 11/30/15) 2,488,543 0.0% Page 67