Investments

The City invests its financial reserves in accordance with the City’s adopted Investment Policy. In accordance with the policy, the City’s ultimate investment goal is to enhance the economic status of the City while protecting the City’s funds and meeting the daily cash flow demands of the City.

Below are copies of the City’s recent Cash and Investment Portfolio Reports prepared each quarter of the calendar year:

Culver City Investment Policy(PDF, 7MB)

2023 4th Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2023 3rd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2023 2nd Qtr Cash and Investment Portfolio Report.(PDF, 3MB)

2023 1st Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2022 4th Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2022 3rd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2022 2nd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2022 1st Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2021 4th Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2021 3rd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2021 2nd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2021 1st Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2020 4th Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2020 3rd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2020 2nd Qtr Cash and Investment Portfolio Report(PDF, 3MB)

2020 1st Qtr Cash and Investment Portfolio Report(PDF, 1MB)