Performance

The following table summarizes the investment return for each of the investment options, net of administrative fees, offered under the Florida 529 Savings Plan. For information, log in to your account or call 1-800-552-GRAD (4723).

Enrollment Year Option

Annualized Investment Returns (Net of Fees) as of February 29, 2024
AgeLast Month3-Months1-Year3-Year5-Year10-YearSince Inception
Enrollment Year 20423.858.89N/AN/AN/AN/A14.74
Enrollment Year 20413.858.8920.116.399.558.318.22
Enrollment Year 20403.858.8920.116.399.558.318.22
Enrollment Year 20393.858.8920.116.399.558.318.22
Enrollment Year 20383.818.8320.036.379.538.308.21
Enrollment Year 20373.298.1618.966.049.338.208.17
Enrollment Year 20362.927.6717.515.218.757.347.42
Enrollment Year 20352.557.1916.314.588.197.067.29
Enrollment Year 20342.216.7515.183.927.556.747.14
Enrollment Year 20331.856.2914.083.256.916.426.99
Enrollment Year 20321.485.7912.862.566.365.536.08
Enrollment Year 20311.135.3211.701.865.725.215.93
Enrollment Year 20300.764.8410.591.235.104.915.79
Enrollment Year 20290.434.379.390.544.444.575.63
Enrollment Year 20280.103.828.27-0.123.853.584.58
Enrollment Year 2027-0.193.307.09-0.663.263.284.44
Enrollment Year 2026-0.382.936.29-0.942.853.084.34
Enrollment Year 2025-0.412.765.88-1.092.592.283.30
Enrollment Year 2024-0.342.766.02-0.962.462.223.27
Enrolled-0.322.756.10-0.552.692.333.32

Static Options

Annualized Investment Returns (Net of Fees) as of February 29, 2024
PortfolioLast Month3-Months1-Year3-Year5-Year10-YearSince Inception
Multi-Manager Growth Portfolio3.808.9918.826.289.498.288.20
Multi-Manager Blended Portfolio1.996.5513.383.006.635.686.18
Multi-Manager Income Portfolio-0.692.405.35-1.53N/AN/A0.35
Passive Growth Portfolio3.959.0020.065.57N/AN/A9.68
Passive Blended Portfolio1.916.3213.622.46N/AN/A5.93
Passive Income Portfolio-0.912.304.67-1.98N/AN/A-0.07

Individual Fund Options

Annualized Investment Returns (Net of Fees) as of February 29, 2024
FundLast Month3-Months1-Year3-Year5-Year10-YearSince Inception
Money Market Fund0.451.395.552.702.171.571.54
Core Plus Fixed Income Fund-1.023.004.83-2.660.991.482.92
Core Fixed Income Fund-1.362.033.40-3.08N/AN/A-3.60
High Yield Fund0.133.239.621.69N/AN/A1.61
Emerging Markets Bond Index Fund0.514.188.61-2.36N/AN/A-3.44
Bank Loans Fund0.813.0810.144.42N/AN/A4.68
Treasury Inflation-Protected Securities Index Fund-0.201.344.532.16N/AN/A2.26
U.S. Broad All Cap Index Fund5.3612.2028.579.6613.9712.0112.60
U.S. Large Cap Equity Index Fund5.3011.9030.2411.84N/AN/A11.77
Small/Mid Cap Equity Index Fund5.9314.0618.84-0.32N/AN/A2.10
Developed International Equity Fund 3.036.9215.705.255.413.885.09
Total International Index Fund3.096.3712.541.52N/AN/A2.13
Global Equity Fund4.4410.3919.767.94N/AN/A9.03
Social Index5.5312.8634.7810.72N/AN/A10.28
Real Estate Index Fund1.945.954.172.58N/AN/A3.92

The investment returns for the Investment Options are provided as general information only and are not intended to provide investment or other advice. Past performance is no guarantee of future performance. The Program cannot and will not provide legal, financial or tax advice, and nothing herein or in any other written materials shall be construed as such. Read more

The administrative fees are available in the Program Description and Participation Agreement found on our website.

The investment return shown for each Investment Option reflects the returns for the portfolio(s) comprising the investment option. For Investment Options that consist of multiple portfolios, the Board may change the allocations. When such changes occur, historical performance will be based on the allocations as of the date of the change. Performance for periods after the change will be based on the updated allocations.

The investment return shown for the Enrollment Year Portfolio, Multi-Manager Growth Portfolio, Multi-Manager Blended Portfolio, Core Plus Fixed Income Fund, U.S. Broad All Cap Index Fund, Small/Mid Cap Equity Index Fund, and Developed International Equity Fund reflects the historical composite return that was available to participants in the Florida 529 Savings Plan.

Please see the Disclosure Statement and Program Description & Participation Agreement for the Florida 529 Savings Plan.

The assets of the Florida 529 Savings Plan are invested in accordance with the guidelines.

Investment returns shown in the table above were calculated by Aon, the Board’s investment consultant, by computing the percentage change in the trust unit value of each Investment Option. The unit values were provided to Aon for computing the investment returns.