Board Meetings
Upcoming Meeting
Meeting Minutes
May 19 2021
April 29 2021
January 28 2021
October 29 2020
July 23 2020
April 30 2020
March 27 2020
January 30 2020
October 31 2019
July 25 2019
April 25 2019
January 24 2019
November 1 2018
July 26 2018
April 26 2018
January 25 2018
October 26 2017
September 28 2017
July 27 2017
April 27 2017
January 26 2017
October 20 2016
July 28 2016
April 28 2016
January 28 2016
October 29 2015
August 6 2015
April 23 2015
October 24 2014
July 25 2014
April 25 2014
January 17 2014
October 18, 2013
July 26, 2013
April 26, 2013
January 18, 2013
October 19, 2012
July 20, 2012
April 20, 2012
January 20, 2012
October 28, 2011
August 31, 2011
July 20, 2011
May 31, 2011
April 19, 2011
January 27, 2011
November 4, 2010
July 21, 2010
April 30, 2010
January 29, 2010
October 28, 2009
July 29, 2009
May 6, 2009
February 10, 2009
December 15, 2008
November 14, 2008
September 23, 2008
August 27, 2008
April 30, 2008
February 29, 2008
January 2, 2008
Download more information about PMA Financial Network, LLC here.
Other FL SAFE Service Programs
Cash Flow Management
Bond Proceeds Management
Financial Planning Program
Fixed Income Investment Program
Credit Risk Analysis
855.202.9650 | Email
10151 University Blvd., #227  |  Orlando, FL 32817

FL SAFE investment options include the FL SAFE Stable NAV Fund and FL SAFE Variable NAV Fund as separate managed investment portfolios whose holdings are subject to change, and Term Series portfolios (collectively “Funds”). Shares in FL SAFE Funds are offered and sold only based on the information contained in the current FL SAFE Information Statement which can be found here or can be obtained by calling 855.202.9650. These Funds are only offered and sold to units of local government under Florida statues as eligible participants in FL SAFE.

The Funds are neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Stable NAV Fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in this fund. The Variable NAV Fund seeks to provide current income while maintaining limited price volatility. The Variable NAV Fund has a floating net asset value, and the net asset value of a Participant’s investment could decline below the amount originally invested by the Participant. You should consider the applicable Fund's investment objectives, risks, charges and expenses detailed in the Information Statement before you invest.

Information in the Knowledge Center and elsewhere on this website is intended for institutional investors and has been published for informational and educational purposes only. The information should not be considered as investment advice or a recommendation of any particular security, strategy or investment product, which may only be done after client suitability is reviewed and determined. This information does not represent an offer or solicitation to buy or sell shares of the FL SAFE Funds, or any other security. Information contained herein has been obtained from sources believed to be reliable, but is not guaranteed. Past performance is not a guarantee of future results. The FL SAFE service providers may, from time to time, voluntarily waive certain fees and expenses, which may affect the yield. Expenses are detailed in the Information Statement under "Fees and Expenses of the Funds."

FL SAFE Fund shares are marketed through PMA Securities, LLC., a broker-dealer and municipal advisor registered with the SEC and MSRB, and member of FINRA and SIPC. FL SAFE Fixed Income Investment Program investments are offered and sold through PMA Securities, LLC. and its affiliate, PMA Financial Network, LLC., which serves as Operational Manager to FL SAFE. PMA Asset Management, LLC., an SEC registered investment adviser and PMA affiliate, serves as the investment advisor to FL SAFE and Florida Management Administrative Services, LLC (FMAS) serves as Administrator to FL SAFE.