Page 10 - April JSF Report
P. 10
INVESTMENTVALUATIONBYMANAGERASOF MARCH31,2023
% of Target 1 Month 9/30/22 12/31/22 1/31/23 2/28/23 3/31/23 Portfolio Allocation Return
Total Fund
Total Global Public Equity
Global Equity
Semper Vic Partners L.P.
GQG Partners Global Equity Fund
U.S. Equity
Adage Capital Partners, L.P.
Vanguard Total Stock Market Index Instl Fund Champlain Small Company Instl Fund
Non-U.S. Developed Equity
Vanguard Developed Markets Index Instl Fund Silchester Intl Value Equity Trust
Baxter Street Offshore Fund, Ltd.
Emerging Markets Equity
Coronation Global Emerging Markets Unit Trust Vanguard Emg Mkt Stk Idx Instl Fund
Overlook Partners Fund, L.P.
Gaoling Feeder Fund
Total Flexible Capital
Davidson Kempner Institutional Partners, L.P. Farallon Capital Offshore Investors II LP Diameter Offshore Fund LP
Cat Rock Capital Partners Cayman, Ltd. OrbiMed Partners, Ltd.
Junto Offshore Fund Ltd.
Mangrove Illiquid Side Pocket Investments Farallon Capital Institutional Partners, L.P. Cerberus International, Ltd.
Redwood Offshore Fund Ltd (Illiquid Side-pockets) Shepherd Select Asset Ltd. (Stark)
Total Fixed Income/Liquid Capital
Fidelity Intermediate Treasury Bond Fund
Fidelity Long Term Treasury Bond Fund
Vanguard Infl Prot Sec Short Term Adm Fund
First American Treasury Obligations Z Fund
CRUTCash ----- 0.0
$235,682,052
$105,705,935
$10,226,948
- $10,226,948
$60,499,368
$39,688,674 $15,414,544 $5,396,150
$24,738,205
$3,733,011 $12,767,365 $8,237,829
$10,241,414
- $3,610,455 $5,071,003 $1,559,956
$28,935,539
$8,976,878 $3,361,569 $8,171,677 $834,101 $2,347,845 $4,627,596 $491,407 $96,860 $7,536 $15,295 $4,775
$33,178,730
$241,045,504
$119,239,720
$11,582,819
- $11,582,819
$62,648,961
$43,007,644 $13,757,443 $5,883,874
$30,051,994
$5,543,597 $15,139,437 $9,368,960
$14,955,946
- $7,703,811 $5,559,436 $1,692,699
$29,545,337
$9,151,263 $3,738,863 $8,161,006 $922,399 $2,380,149 $4,753,379 $307,955 $100,905 $8,346 $16,297 $4,775
$27,102,089
$249,579,569
$127,243,863
$11,662,844
- $11,662,844
$66,886,721
$45,816,241 $14,705,926 $6,364,553
$32,558,881
$6,023,332 $16,220,145 $10,315,405
$16,135,416
- $8,302,812 $5,981,160 $1,851,445
$30,160,968
$9,296,899 $3,819,346 $8,241,718 $1,060,648 $2,507,982 $4,811,122 $292,810 $100,945 $8,446 $16,277 $4,775
$27,287,349
$244,886,321
$123,703,492
$11,245,746
- $11,245,746
$65,493,805
$44,807,620 $14,363,172 $6,323,013
$31,727,189
$5,818,317 $16,060,315 $9,848,556
$15,236,752
- $7,784,629 $5,742,689 $1,709,434
$30,045,065
$9,320,051 $3,791,481 $8,274,548 $1,027,067 $2,433,391 $4,796,988 $276,660 $95,635 $8,212 $16,256 $4,775
$27,332,652
$248,492,976 100.0
$126,889,044 51.1
$11,592,486 4.7
- 0.0 $11,592,486 4.7
$67,268,946 27.1
$46,382,581 18.7 $14,741,382 5.9 $6,144,984 2.5
$32,291,333 13.0
$5,971,501 2.4 $16,230,518 6.5 $10,089,314 4.1
$15,736,279 6.3
- 0.0 $7,981,703 3.2 $5,967,929 2.4 $1,786,647 0.7
$30,082,503 12.1
$9,251,083 3.7 $3,811,576 1.5 $8,342,399 3.4 $1,094,905 0.4 $2,316,588 0.9 $4,864,146 2.0
$276,660 0.1 $95,903 0.0 $8,212 0.0 $16,256 0.0 $4,775 0.0
$27,136,381 10.9
1.6
50.0 2.6
3.1
NA 3.1
2.7
3.5 2.6 -2.8
1.8
2.6 1.1 2.4
3.3
NA 2.5 3.9 4.5
12.5 0.1
-0.7 0.5 0.8 6.6 -4.8 1.4 0.0 0.3
12.5 3.0
3.4 4.7 1.9 0.4 NA 0.0
Truist Cash Fund Liquidation Holdbacks Semper Vic Holdback
$302,659 - $339,237
$657,876 - $339,237
$768,352 - $339,237
$365,659 $962,700 0.4 - - 0.0 $339,237 - 0.0
$13,947,424 $5,198,046 $4,182,276 $9,209,088
$13,077,166 $5,132,085 $4,233,283 $3,662,443
$13,453,241 $5,494,838 $4,265,819 $2,965,863
$13,076,856 $5,233,199 $4,247,743 $4,069,957
$13,521,835 5.4 $5,480,996 2.2 $4,329,643 1.7 $2,841,207 1.1
Page 8 April Report