Yields

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NYCLASS
March 2020

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) 30-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
03/31/2020 0.8565 1.3775 0.8939 1.1263 42 58 0.000023402195 1.00143318
03/30/2020 0.9009 1.3833 0.9002 1.1470 43 59 0.000024613944 1.00154001
03/29/2020 0.9012 1.3887 0.9109 1.1662 45 62 0.000024624284 1.00161089
03/28/2020 0.9012 1.3942 0.9219 1.1855 45 62 0.000024624284 1.00161089
03/27/2020 0.9012 1.3999 0.9329 1.2047 45 62 0.000024624283 1.00161089
03/26/2020 0.8987 1.4057 0.9439 1.2239 46 62 0.000024554891 1.00165239
03/25/2020 0.8977 1.4116 0.9557 1.2432 45 62 0.000024527098 1.00162006
03/24/2020 0.9006 1.4178 0.9757 1.2626 46 62 0.000024605921 1.00164527
03/23/2020 0.9757 1.4240 1.0067 1.2819 46 62 0.000026658399 1.00167503
03/22/2020 0.9781 1.4295 1.0263 1.2987 47 64 0.000026724295 1.00168026
03/21/2020 0.9781 1.4350 1.0636 1.3155 47 64 0.000026724295 1.00168026
03/20/2020 0.9781 1.4407 1.1009 1.3323 47 64 0.000026724296 1.00168026
03/19/2020 0.9814 1.4466 1.1383 1.3492 48 65 0.000026814606 1.00174763
03/18/2020 1.0380 1.4526 1.1775 1.3660 49 66 0.000028361047 1.00156497
03/17/2020 1.1172 1.4580 1.2104 1.3809 49 66 0.000030525025 1.00151526
03/16/2020 1.1132 1.4624 1.2319 1.3931 50 67 0.000030414168 1.00145275
03/15/2020 1.2393 1.4671 1.2629 1.4055 52 69 0.000033861549 1.00143096
03/14/2020 1.2393 1.4702 1.2755 1.4137 52 69 0.000033861549 1.00143096
03/13/2020 1.2393 1.4733 1.2881 1.4219 52 69 0.000033861548 1.00143096
03/12/2020 1.2558 1.4766 1.3007 1.4302 53 70 0.000034312124 1.00141455
03/11/2020 1.2687 1.4797 1.3122 1.4380 53 70 0.000034663738 1.00136369
03/10/2020 1.2678 1.4827 1.3279 1.4453 54 71 0.000034639592 1.00146421
03/09/2020 1.3296 1.4858 1.3547 1.4526 53 70 0.000036328740 1.00132807
03/08/2020 1.3277 1.4881 1.3757 1.4580 55 73 0.000036275123 1.00113432
03/07/2020 1.3277 1.4905 1.3972 1.4634 55 73 0.000036275123 1.00113432
03/06/2020 1.3277 1.4930 1.4188 1.4688 55 73 0.000036275123 1.00113432
03/05/2020 1.3362 1.4955 1.4403 1.4744 56 73 0.000036507142 1.00103464
03/04/2020 1.3789 1.4980 1.4604 1.4798 54 72 0.000037674530 1.00081336
03/03/2020 1.4551 1.4999 1.4747 1.4836 53 71 0.000039756832 1.00051728
03/02/2020 1.4765 1.5006 1.4778 1.4849 50 68 0.000040340463 1.00044073
03/01/2020 1.4786 1.5010 1.4783 1.4855 52 71 0.000040397850 1.00018053
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NYCLASS PRIME
March 2020

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) 30-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
The fund has no rates available for the selected month.

DData unaudited. Performance results are shown net of all fees and expenses and reflect the reinvestment of dividends and other earnings. Many factors affect performance including changes in market conditions and interest rates and in response to other economic, political, or financial developments. Investment involves risk including the possible loss of principal. No assurance can be given that the performance objectives of a given strategy will be achieved. Past performance is no guarantee of future results.Any financial and/or investment decision may incur losses.

The ICE BofA ML 3-Month T-Bill Index is an unmanaged index that measures the returns of three-month U.S. Treasury Bills.

Investors cannot purchase the index directly. Fees will reduce returns.

Explanation of Yields