Page 227 - Brook-Hollow Due Diligence Package
P. 227

Exhibit One to Investment Policy Statement
 Description of Investment Objective for Diversified Portfolio Investment

 Time Horizon:    Short - Less than 5 years (unless rollover option
 exercised)

 Risk Tolerance Score (1 – 5):     4    Moderate/Aggressive

 Asset Allocation for a Moderate Portfolio

    Lower       Strategic      Upper
 Broad Asset Class / Peer Group    Limit    Target   Limit

 Cash     0.0    02.0   75.0
 U. S. Fixed Income     0.0    19.0   75.0
 Non-U. S. Fixed Income         0.0     9.0   75.0
 Alternative Investments **        0.0      0.0   100.0
 U S Equities        0.0    42.0   75.0
 International Equities        0.0    28.0   75.0

 **   Includes non-publicly traded promissory notes and/or subordinated notes issued by Brook
 Hollow Capital LLC with an applicable interest rate of not less than 1.75% per annum.

 Rebalancing of Strategic Allocation

 The percentage allocation to each peer group may vary depending upon market conditions.
 Please reference the allocation table above for the lower and upper limits for each peer group.
 When necessary and/or available, cash inflows/outflows will be deployed in a manner consistent
 with the strategic asset allocation and allocation ranges of the plan. Additionally, up to 5% of
 assets may be invested in alternative investment. If there are no cash flows, the allocation of the
 portfolio will be reviewed quarterly. If cash flows are insufficient to bring the portfolio within
 the target allocation ranges, KACL shall decide whether to effect transactions to bring the
 allocation of portfolio assets within the threshold ranges.


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