Menu

MOSIP_RespHeader_R1-03
MOSIP_RespHeader_R1-01
MOSIP_RespHeader_R1-02

FAQs


MOSIP FAQs

How do I send the funds to MOSIP for the initial investment?
How do I withdraw from my account with MOSIP?
How do I invest my bond proceeds with MOSIP?
What are my options for transferring funds electronically?
How can I check my account balance?
Can I obtain account information online?
What is arbitrage?
What are the arbitrage spending requirements for the 6,18, and 24 Month Exceptions?
Can I fill out my registration forms online?
How do we change our wire instructions or authorized representatives for an account?

Expand all

Collapse all

Please enter your color in the box below for the top navigation bar and side navigation bar. Make sure there are no extra spaces in the box below: 

#0479B8

 

Please enter your color in the box below for the login button and top left icon. Please make sure there are no extra spaces in the box: 

#E5F1F8

 

Please enter your font style below in the box.

*Make sure there are no extra spaces in the box and do not delete the box:

Poppins, sans-serif



This information is for institutional investor use only, not for further distribution to retail investors, and does not represent an offer to sell or a solicitation of an offer to buy or sell any fund or other security. Investors should consider the investment objectives, risks, charges and expenses before investing in any of the Missouri Securities Investment Program's portfolios. This and other information about the Program's portfolios is available in the Program's current Information Statement, which should be read carefully before investing. A copy of the Information Statement may be obtained by calling 1-877-MY-MOSIP or is available on the Program's website at www.mosip.org. While the MOSIP Liquid Series seeks to maintain a stable net asset value of $1.00 per share and the MOSIP Term portfolio seeks to achieve a net asset value of $1.00 per share at the stated maturity, it is possible to lose money investing in the Program. An investment in the Program is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Shares of the Fund are distributed by U.S. Bancorp Investments, Inc., member FINRA (www.finra.org) and SIPC (www.sipc.org). PFM Asset Management is a division of U.S. Bancorp Asset Management, Inc., which serves as administrator and investment adviser to the Fund. U.S. Bancorp Asset Management, Inc. is a direct subsidiary of U.S. Bank N.A. and an indirect subsidiary of U.S. Bancorp. U.S. Bancorp Investments, Inc. is a subsidiary of U.S. Bancorp and affiliate of U.S. Bank N.A.


Copyright 2020, All Rights Reserved