PSDLAF Monthly Statement

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PSDLAF Monthly Statement Statement for the Account of: Your PMA Portfolio Advisor: (71469-11) XXXXXX32 - GENERAL FUND ACTIVITY SUMMARY INVESTMENT POOL SUMMARY Beginning Balance Dividends Credits MAX $4,392,66.27 $5,436.52 $11,71,282.93 Checks Paid $. Other Debits Ending Balance Average Monthly Rate ($12,437,18.64) $3,32,271.8 1.58% PLEASE NOTE: THE FUND WILL BE CLOSED JULY 4TH IN OBSERVANCE OF THE INDEPENDENCE DAY HOLIDAY TOTAL MAX $3,32,271.8 $. TOTAL FIXED INCOME $13,54,. ACCOUNT TOTAL $16,536,271.8 Christopher Johnston P.O.Box 11 Millersville, PA 17551 (71469-11) GENERAL FUND Page 1 of 8

TRANSACTION ACTIVITY BEGINNING BALANCE $4,392,66.27 MAX CLASS ACTIVITY Trade Date Settle Date Description Redemption/Debit Purchase/Credit Share Price Shares this 819523 6/1/ 6/1/ PNC ACH Redemption ($37,18.64) $1. (37,18.64) Easy Procure 822213 6/1/ 6/1/ Fund Purchase from FRI Interest $4,38.81 $1. 4,38.81 822214 6/1/ 6/1/ 5783 ALLY BANK *FNC*( T:547 R:1.1) Fund Purchase from FRI Program $245,. $1. 245,. 829832 6/12/ 6/12/ 5783 ALLY BANK *FNC*( T:547 R:1.1) Fund Purchase from FRI Program $1,,. $1. 1,,. Full Flex Pool (PenFed) 833537 6/19/ 6/19/ Online ACH Redemption ($1,6,.) $1. (1,6,.) Per Chris Johnston 834378 6/19/ 6/19/ Fund Purchase from FRI Interest $3,932.88 $1. 3,932.88 834379 6/19/ 6/19/ Fund Purchase from FRI Interest $613.7 $1. 613.7 83438 6/19/ 6/19/ Fund Purchase from FRI Interest $673.49 $1. 673.49 834381 6/19/ 6/19/ Fund Purchase from FRI Interest $1,22.47 $1. 1,22.47 834823 6/19/ 6/19/ Phone Redemption for FRI ($1,,.) $1. (1,,.) Full Flex Pool (OZK) 835984 6/2/ 6/2/ Fund Purchase from FRI Program $8,8,. $1. 8,8,. 835985 6/2/ 6/2/ Full Flex Pool (PenFed) Fund Purchase from FRI Program $1,,. $1. 1,,. Full Flex Pool (OZK) 836443 6/2/ 6/2/ Phone Redemption for FRI ($1,,.) $1. (1,,.) 836797 6/2/ 6/2/ Full Flex Pool (OZK) Phone Redemption for FRI ($8,8,.) $1. (8,8,.) Full Flex Pool (PenFed) 84345 6/27/ 6/27/ Fund Purchase from FRI Interest $15,821.58 $1. 15,821.58 843341 6/3/ 6/3/ Dividend Reinvest $5,436.52 $1. 5,436.52 (71469-11) GENERAL FUND Page 2 of 8

16 TOTALS FOR PERIOD ($12,437,18.64) $11,76,719.45 (1,36,389.19) ENDING BALANCE $3,32,271.8 (71469-11) GENERAL FUND Page 3 of 8

FIXED INCOME INVESTMENTS 69 A PURCHASES Projected Type Holding ID Trade Settle Maturity Description Cost Interest Rate Face/Par FLEX 82115 6/19/ 6/19/ 6/26/ Full Flex Pool (OZK) $1,,. $316.44 1.65% $1,,. FLEX 82693 6/2/ 6/2/ 1/15/19 Full Flex Pool (PenFed) $8,8,. $13,297.53 2.5% $8,8,. FLEX 82332 6/2/ 6/2/ 1/15/19 Full Flex Pool (OZK) $1,,. $12,24.66 2.1% $1,,. 3 Totals for Period: $1,8,. $115,638.63 $1,8,. (71469-11) GENERAL FUND Page 4 of 8

FIXED INCOME INVESTMENTS 69 A MATURITIES Type M Holding ID Settle Date Date Maturity Projected Date Description Cost Interest Face/Par CD M 822214 6/1/ 6/1/ 6/1/ 5783 ALLY BANK *FNC*( T:547 R:1.1) $245,. $4,38.81 $245,. SALES Type S Holding ID Settle Date Date Maturity Projected Date Description Settlement Interest Face/Par FLEX S 8279 6/12/ 6/12/ 6/26/ Full Flex Pool (PenFed) $1,,. $747.95 $1,,. FLEX S 8279 6/2/ 6/2/ 6/26/ Full Flex Pool (PenFed) $8,8,. $2,82.82 $8,8,. FLEX S 82115 6/2/ 6/2/ 6/26/ Full Flex Pool (OZK) $1,,. $271.23 $1,,. 4 Totals for Period: $11,45,. $7,878.81 $11,45,. (71469-11) GENERAL FUND Page 5 of 8

FIXED INCOME INVESTMENTS 69 A INTEREST Type Holding ID Date Description Interest CD 822214 6/1/ 5783 ALLY BANK *FNC*( T:547 R:1.1) $4,38.81 Flex 834378 6/19/ $3,932.88 Flex 834379 6/19/ $613.7 Flex 83438 6/19/ $673.49 Flex 834381 6/19/ $1,22.47 Flex 84345 6/27/ $15,821.58 6 Totals for Period: $26,282.93 (71469-11) GENERAL FUND Page 6 of 8

69 A CURRENT PORTFOLIO Projected Type Holding ID Trade Settle Maturity Description Cost Interest Rate Face/Par Market Value MAX 6/3/ MAX Account Balance $3,32,271.8 1.58% $3,32,271.8 $3,32,271.8 CD 74694 8/31/17 8/31/17 8/31/ Collateralized Pool (CUST) $2,,. $26,. 1.3% $2,,. $2,,. CD 756 1//17 1//17 1// FINANCIAL FEDERAL BANK $245,. $3,37.5 1.35% $245,. $245,. CD 759 1//17 1//17 1// Premier Business Bank ^#JCDI^ $245,. $3,37.5 1.35% $245,. $245,. CD 7519 1/19/17 1/19/17 1/19/ TCM BANK, NATIONAL ASSOCIATION *JCDI* $245,. $3,37.5 1.35% $245,. $245,. CD 7524 1/27/17 1/27/17 1/29/ FIRST BANK OF OHIO ^#JCDI^ $245,. $3,571.97 1.45% $245,. $245,. FLEX 82332 6/2/ 6/2/ 1/15/19 Full Flex Pool (OZK) $1,,. $12,24.66 2.1% $1,,. $1,,. FLEX 82693 6/2/ 6/2/ 1/15/19 Full Flex Pool (PenFed) $8,8,. $13,297.53 2.5% $8,8,. $8,8,. CD 7216 4/19/17 4/19/17 1//19 FRANKLIN SYNERGY BANK*FNC* $244,. $5,766.76 1.35% $244,. $244,. CD 72159 4/17/17 4/17/17 4/16/19 EVERBANK*FNC* $24,. $7,429.81 1.55% $24,. $24,. CD 72124 4/2/17 4/2/17 4/22/19 WHITNEY BANK*FNC* $24,. $6,738.41 1.4% $24,. $24,. Weighted Average Portfolio Yield: Weighted Average Portfolio Maturity: Portfolio Summary: 1.935 % 175.86 Days Type Allocation (%) Allocation ($) Description MAX.34% $3,32,271.8 MAX Class Activity CD 22.4% $3,74,. Certificate of Deposit FLEX 59.26% $9,8,. Full Flex Pool Note: Weighted Yield & Weighted Average Portfolio Maturity are calculated using Market Value and are only based on the fixed rate investments (excluding SDA investments). Cost is comprised of the total amount you paid for the investment including any fees and commissions. Rate is the Net Yield to Maturity. Face/Par is the amount received at maturity. Market Value reflects the market value as reported by an independent third party pricing service. Certificates of Deposit and Commercial Paper and other assets for which market pricing is not readily available from a third party pricing service are listed at Cost. Totals for Period: $16,536,271.8 $174,751.64 $16,536,271.8 $16,536,271.8 (71469-11) GENERAL FUND Page 7 of 8

PSDLAF Monthly Statement PMA Financial Network, Inc. ( PMA ) serves as the Administrator for PSDLAF. This statement lists your transactions in PSDLAF during the applicable month. The Average Rate represents the average net interest rate over the previous month which is then annualized. The MAX and LIQ Series of PSDLAF are managed to maintain a stable $1. share price but there is no guarantee that they will do so. Information regarding PSDLAF and its investment objectives, risks, charges, expenses and other matters can be found in the PSDLAF Information Statement, which can be obtained at www.psdlaf.org or by calling PMA at 866-548-8634. Fixed rate investments This section shows all of the fixed income investment transactions, including the investments purchased and sold, maturities, interest received, and activity. This includes Flex CD Pools, Certificates of Deposit, Savings Deposit Accounts, and securities purchased through RBC Capital Markets, LLC and/or RBC Global Asset Management (U.S.) Inc. (collectively RBC ). All information relating to fixed rate investments reflected on this statement was provided by RBC, including but not limited to information relating to the name of the investment, CUSIP, cost, number of shares, and market value. If you have any questions on the fixed rate investment information reflected on this statement, please contact RBC at 866-548-8634 Option 2. PLEASE ADVISE PMA IMMEDIATELY OF ANY DISCREPANCIES ON YOUR STATEMENT. FOR A CHANGE OF ADDRESS OR OTHER INFORMATION RELATING TO YOUR PSDLAF ACCOUNT, PLEASE COMPLETE THE APPLICABLE FORM LOCATED ON THE USER LOGIN SITE, OR CONTACT PMA AT THE NUMBER LISTED BELOW. Although market value and other information contained in this Statement have been obtained from third-party sources believed to be reliable, PMA Financial Network, Inc. cannot guarantee the accuracy or completeness of such information. (71469-11) GENERAL FUND Page 8 of 8