The funds will be closed in observance of the following 2008 holidays:

Tuesday, January 1st New Year's Day
Monday, January 21st Martin Luther King, Jr. Day
Monday, February 18th Presidents' Day
Friday, March 21st Good Friday
Monday, May 26th Memorial Day
Friday, July 4th Independence Day
Monday, September 1st Labor Day
Monday, October 13th Columbus Day
Tuesday, November 11th Veterans Day
Thursday, November 27th Thanksgiving Day
Thursday, December 25th Christmas Day


Gov't/Repo Portfolio 3:00 PM, EST
Money Market Portfolio 3:00 PM, EST

Annual Report (pdf)

Semi-Annual Report (pdf)

Nominating Commitee Charter (pdf)

Important Letter to Shareholders, March 20, 2008 (pdf)

Yields will fluctuate as market conditions change. The 7-day yields are computed in accordance with the calculations as set forth in the prospectus. The yield figures set forth are a measure of the net investment income per share earned by a Fund for the 7 day period ended the business day prior to the one listed on this report, expressed as an annualized percentage of maximum offering price of such Fund's share on that date.

Investments in money market funds are neither insured nor guaranteed by the U.S. Government and there is no assurance that the funds will maintain a stable net asset value of $1.00 per share. PAST PERFORMANCE IS NO GUARANTEE OF FUTURE RESULTS. Daily dividend factors are based on calculations made following the close of the fund. The SEC requires the provision of a 7-day yield which is computed in accordance with their prescribed methods. For more complete information about Plan Investment Funds, including charges and expenses, please obtain a prospectus by calling 800-621-9215. Please read the prospectus carefully before investing or sending money.

© Plan Investment Fund, Inc. — All Rights Reserved.