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HomeMy WebLinkAboutUntitled • . e FARGO CTS CMES CHICAGO IL CORPORATE TRUST SERVICES MAC N8405-130 10 S. WACKER DR.. 13TH FLOOR CHICAGO, IL 60606 CITY OF CARMEL, INDIANA TAXABLE ECONOMIC DEVELOPMENT REVENUE BONDS , SERIES 2006 B (GRAMERCY DEVELOPMENT PARTNERS , LLC ® PROJECTS) BOND FUND mew ACCOUNT NUMBER 20567100 SEMI-ANNUAL STATEMENT JULY 1, 2013 THROUGH DECEMBER 31, 2013 ACCOUNT MANAGER: SCOTT HAGWELL TELEPHONE NUMBER: 312-726-2163 CITY OF CARMEL ATTN: CLERK-TREASURER ONE CIVIC SQUARE CARMEL, IN 46032 ADMINISTRATOR: SPRING O'BRIEN TELEPHONE NUMBER: 312-658-4170 00114 S1 TRS 26084(0000 001140 Rev 00)(3-02-51856) YY.J.JMYra FARGO.• • TABLE OF CONTENTS CARMEL-GRAMERCY - BOND FD FOR THE PERIOD JULY 1, 2013 THROUGH DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 PAGE REPORT NAME NUMBER ASSET SUMMARY 1 STATEMENT OF ASSETS 2 CASH SUMMARY 3 STATEMENT OF TRANSACTIONS 4 .�® CASH MANAGEMENT TRANSACTION JOURNAL 5 MOMS= e= MMMMM v® IMMIMMM • U, S N C TRS 26084(0000 001140 Rev 00)(3-02-51856) :FARGQ` PAGE 1 ASSET SUMMARY CARMEL-GRAMERCY - BOND FD AS OF DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 ASSET SUMMARY UNREALIZED ACCRUED INVESTMENT CATEGORY COST VALUE MARKET VALUE GAIN/LOSS INCOME CASH 0.00 0.00 CASH EQUIVALENTS 4.22 4.22 0.00 0.00 MISCELLANEOUS ASSETS 1.00 1.00 0.00 0.00 TOTAL INVESTMENTS 5.22 5.22 0.00 0.00 1110 4110 4110 W1R1M5 FARGO PAGE 2 STATEMENT OF ASSETS CARMEL—GRAMERCY — BOND FD AS OF DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 STATEMENT OF ASSETS COST VALUE MARKET VALUE UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE GAIN/LOSS ACCRUED INCOME CASH EQUIVALENTS 4.22 WELLS FARGO ADVANTAGE GOVERNMENT 4.22 4.22 0.00 0.00 MONEY MARKET FUND 1.000 1.000 INSTL CLASS — #1751 ® TOTAL CASH EQUIVALENTS 4.22 4.22 0.00 0.00 _o■ MISCELLANEOUS ASSETS ® 1 GRAMERCEY DEVELOPMENT PARTNERS, LLC 1 .00 1.00 0.00 0.00 PROMISSORY NOTE DID 11/01/2006 1 .000 1.000 TOTAL MISCELLANEOUS ASSETS 1 .00 1 .00 0.00 0.00 TOTAL INVESTMENTS 5.22 5.22 0.00 0.00 ® Values reflected for publicly—traded assets are from unaffiliated financial industry sources believed to be reliable. Values for non—publicly traded assets may be determined from other unaffiliated sources. Assets for which a current value is unavailable may be reflected at the last reported price, at par, or may be shown as having nominal or no value. Reported values may not be the price at which an asset may be sold. Asset values are updated as pricing becomes available from external sources, and may be updated less frequently than statements are generated. M TRS 26084(0000 001140 Rev 00)(3-02-51856) WELLS FARGO_ a t, PAGE 3 CASH SUMMARY CARMEL—GRAMERCY — BOND FD FOR THE PERIOD JULY 1, 2013 THROUGH DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 CASH SUMMARY DESCRIPTION PRINCIPAL CASH INCOME CASH BEGINNING BALANCE 0.00 0.00 RECEIPTS OTHER CASH RECEIPTS 2,420.58 0.00 CASH MANAGEMENT SALES 2,420.60 0.00 TOTAL CASH RECEIPTS 4,841 .18 0.00 DISBURSEMENTS OTHER CASH DISBURSEMENTS 2,420.60— 0.00 CASH MANAGEMENT PURCHASES 2,420.58— 0.00 TOTAL CASH DISBURSEMENTS 4,841. 38— 0.00 ENDING BALANCE 0.00 0.00 1111 1111 4111 ~;7{IELLS • • FARGO PAGE 4 STATEMENT OF TRANSACTIONS CARMEL-GRAMERCY - BOND FD FOR THE PERIOD JULY 1, 2013 THROUGH DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION PRINCIPAL CASH INCOME CASH COST VALUE GAIN/LOSS BEGINNING BALANCE 0.00 0.00 5.24 07/31/13 ADDITION TO ACCOUNT 2,416.36 WIRE RECEIPT SUPPLEMENT DEBT SERVICE FUNDS ® 08/01/13 REMITTANCE TO PAYING AGENT 2,420.60- ® PAID TO NOTEHOLDERS city of carmel in sr 2006b dtd •1:0SE. 11-15-06 ® CARMELO6B INTEREST PAID TO BONDHOLDER 12/17/13 ADDITION TO ACCOUNT 4.22 GENERAL ACH RECEIPT TIF FUNDS FROM CITY OF CARMEL ® 12/31/13 2,420.58 CASH SWEEP PURCHASES FOR STMT PERIOD 2,420.58- 2,420.58 ® WF ADV GOVT MM FD-INSTL #1751 ® 2 TRANSACTIONS ° E2-m' 12/31/13 2,420.6- CASH SWEEP SALES FOR STMT PERIOD 2,420.60 2,420.60- WF ADV GOVT MM FD-INSTL #1751 1 TRANSACTION ENDING BALANCE 0.00 0.00 5.22 N TRS 26084(0000 001140 Rev 00)(3-02-51856) WELLS:; FARGOy PAGE 5 CASH MANAGEMENT TRANSACTION JOURNAL CARMEL-GRAMERCY - BOND FD FOR THE PERIOD JULY 1, 2013 THROUGH DECEMBER 31, 2013 ACCOUNT NUMBER 20567100 CASH MANAGEMENT TRANSACTION JOURNAL DATE PAR VALUE/SHARES DESCRIPTION PRINCIPAL CASH INCOME CASH 07/31/13 2,416.36 PURCHASED 2,416.36- WF ADV GOVT MM FD-INSTL #1751 08/01/13 2,420.6 SOLD 2,420.60 WF ADV GOVT MM FD-INSTL #1751 12/17/13 4.22 PURCHASED 4.22- WF ADV GOVT MM FD-INSTL #1751 WF ADV GOVT MM FD-INSTL #1751 TOTAL PURCHASES/DEPOSITS 2,420.58- 0.00 TOTAL SALES/WITHDRAWALS 2,420.60 0.00 •