Chapter 3.20 INVESTMENT POLICY
This chapter is included in your selections.
Sections:
- 3.20.010 Policy statement.
- 3.20.020 Scope.
- 3.20.030 Definitions.
- 3.20.040 Prudence.
- 3.20.050 Objective.
- 3.20.060 Delegation of authority.
- 3.20.070 Ethics and conflicts of interest.
- 3.20.080 Authorized financial dealers and institutions.
- 3.20.090 Authorized and suitable investments.
- 3.20.100 Investment pools/mutual funds.
- 3.20.110 Collateralization.
- 3.20.120 Safekeeping and custody.
- 3.20.130 Diversification.
- 3.20.140 Maximum maturities.
- 3.20.150 Competitive transactions.
- 3.20.160 Internal control.
- 3.20.170 External control.
- 3.20.180 Performance standards.
- 3.20.190 Reporting requirements.
- 3.20.200 Investment policy adoption.
Editor’s note: Ord. No. 2937, § 1, adopted October 20, 2014, amended chapter 3.20 in its entirety to read as herein set out. Former chapter 3.20, §§ 3.20.010—3.20.200, pertained to similar subject matter, and derived from Ordinance No. 2795, § 2 (Att. A), 2-2-2009. See Code Comparative Table for complete derivation.