Endowment Portfolio Performance Report

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Endowment Portfolio Performance Report * As of June 30, 2016 Investment Objective The Calgary Foundation takes a long term, total return approach to earn a real return sufficient to preserve the purchasing power of the Foundation's invested assets and minimize grant disbursement volatility. The real return goal shall consist of a spending policy rate (4%) and a provision for operation cost recovery (1%). It is the Calgary Foundations' policy to distribute and spend no more than the fund's real return over the long term. It is Calgary Foundation's goal to maximize financial support to the charitable community by retaining the purchasing power of the fund's capital gifts. The current long term nominal rate of return target is equal to the aggregate of the Foundation's prevailing Spending Policy Rate (4%), a provision for operation cost recovery (1%), and a inflation assumption (2%).

Calgary Foundation Investment Managers* Cash & Cash Equivalents Mawer Investment Management Canadian Fixed Income TD Asset Management High Yield Bonds Guardian Capital LP Canadian Large Cap Equities Mawer Investment Management, Sionna Investment Managers Canadian Small Cap Equitites QV Investors Inc. EAFE Equity Lazard Asset Management, Mawer Investment Management, TD Asset Management Inc. US Equity TD Asset Management Emerging Markets Vontobel Asset Management Real Estate LaSalle Investment Management, Crestpoint Real Estate Investments, Walton Street Capital Infrastructure UBS Global Asset Management Private Equity Pomona Capital, GI Partners, TDR Capital

Calgary Foundation Asset Mix * Calgary Foundation Investment Committee Kay Best (ex-officio) Ali Bhojani (ex-officio) Bob Gibson (ex-officio) Blaine Lennox

1.60%

5.80%

High Yield Bonds 5.6% 18.90%

5.40%

EAFE Equity 13.9% 5.60%

13.30%

Chief Investment Officer

Sara Banks Investment Administrator

[email protected] (403) 802-7715 [email protected] (403) 802-7319

Canadian Large Cap Equities 22.6% Canadian Small Cap Equitites 6%

Calgary Foundation Contact Information Dan Langlois, MBA, CFA

Cash & Cash Equivalents 1.7% Canadian Fixed Income 18.9%

5.30%

Paul Moynihan Elizabeth Peters Wes Peters, Chair Blake Walker

1.70%

US Equity 13.3% Emerging Markets 5.4%

22.60%

13.90%

Real Estate 5.8% Infrastructure 1.6%

6.00%

Private Equity 5.3%

Endowment Portfolio Performance Summary June 30, 2016

Annualized Gross Returns 14.0%

12.0% 10.0% 8.0%

Total

6.0%

Benchmark

4.0% 2.0% 0.0%

4.2% 3.7% 1 year

6.4% 5.2% 2 years

10.8% 9.6% 3 years

11.4% 9.5% 4 years

9.3% 7.6% 5 years

9.9% 8.6% 7 years

7.1%

6.0%

10 years

Quarter and Annual Gross Returns 25.0% 20.0% 15.0% Total

10.0%

Benchmark

5.0% 0.0%

2.7% 3.6% Qrt. End Jun-16

4.2% 3.7% Yr End Jun-16

8.7% 6.8% Yr End Jun-15

20.0% 18.9% Yr End Jun-14

13.5% 9.3% Yr End Jun-13

0.9% 0.3% Yr End Jun-12

Calgary Foundation Policy Benchmark: 17.5% S&P/TSX Capped Comp, 5.0% BMO NB Small Cap Wtd Blended, 9.0% S&P 500, 8.5% MSCI EAFE, 5.0% MSCI Emerging Markets, 18.0% FTSE TMX Canada Universe Bond, 5.0% BA/ML HY Bond (Cdn Iss. C$), 10% Real Estate (CPI + 4%), 10% Private Equity (8% Absolute return), 10% Infrastructure (8% Absolute return), and 2.0% FTSE TMX Canada 30-Day T-Bill. The above returns are reported in nominal values.