San Jacinto Community College District
Summary of Investments
May 1, 2003 May 1, 2003
Investment Type Book Value Market Value
Equity Securites
U.S. Common Stock  $                        -    $                        -  
Equity Mutual Funds  $                        -    $                        -  
Other Equity Securities  $                        -    $                        -  
Total Equity Securities  $                        -    $                        -  
Other Investments
Real Estate  $                        -    $                        -  
Annuities  $                        -    $                        -  
Other  $                        -    $                        -  
Total Other Investments  $                        -    $                        -  
San Jacinto College District
Summary of Investments
May 1, 2003 May 1, 2003
Investment Type Book Value Market Value
Debt Investments>1year
U.S. Government  $                        -    $                        -  
U.S. Government Agency  $      13,699,808.00  $      13,720,140.00
Other Asset-Backed Bonds  $                        -    $                        -  
Municipal Obligations  $                        -    $                        -  
Corporate Obligations  $                        -    $                        -  
Bond Mutual Funds  $                        -    $                        -  
Other Asset-Backed Bonds  $                        -    $                        -  
Total Debt Investments > 1 year  $      13,699,808.00  $      13,720,140.00
Short Term Investments
U.S. Government  $                        -    $                        -  
U.S. Government Agency  $        2,056,465.84  $        2,006,260.00
A1/P1 Commercial Paper  $                        -    $                        -  
Repurchase Agreements  $                        -    $                        -  
TexPool  $        5,829,703.95  $        5,829,703.95
Lone Star Pool  $      15,230,025.35  $      15,237,578.01
Other Money Market Funds and Pools  $                        -    $                        -  
Bank Deposits  $      14,450,492.22  $      14,450,492.22
Cash Held at State Treasury  $                        -    $                        -  
Other Money Market Funds and Pools  $                        -    $                        -  
Total Short Term Investments  $      37,566,687.36  $      37,524,034.18
Total Investments  $      51,266,495.36  $      51,244,174.18