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Rate Information


Performance as of May 2, 2024
  FLSTAR Government
Current Rate 5.3261%
Allocation Factor 0.000145920
7-Day Net Yield 5.35%
Weighted Average Maturity (1) 44 Days
Weighted Average Maturity (2) 53 Days
Net Asset Value 0.999790

This investment data represents historical information only and is not an indication of future performance. Interest rates will fluctuate. This information does not represent an offer to buy or sell a security.

For more information, please see the FLSTAR Information Statement available on this web site. Investors should consider the investment objectives, risks, and expenses associated with this or any security prior to investing. Information about these and other program details are in the fund’s Information Statement which should be read carefully before investing. An investment in FLSTAR is not insured or guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency and although the FLSTAR program seeks to preserve the value of the investment at a fixed share price of $1, it is possible to lose money by investing. For more information, contact FLSTAR Participant Services at 1.800.839.7827.