Yields

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NYCLASS
November 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)
11/30/2020 0.0851 0.5587 0.0937 0.0948 51 73 0.000002325137 1.00004712
11/29/2020 0.0951 0.5601 0.0951 0.0951 52 74 0.000002598117 1.00005476
11/28/2020 0.0951 0.5615 0.0951 0.0951 53 74 0.000002598120 1.00005635
11/27/2020 0.0951 0.5629 0.0951 0.0951 53 75 0.000002598845 1.00005794
11/26/2020 0.0951 0.5643 0.0951 0.0951 51 73 0.000002598506 1.00005577
11/25/2020 0.0951 0.5657 0.0951 0.0951 52 74 0.000002598218 1.00005736
11/24/2020 0.0951 0.5672 0.0951 0.0951 53 74 0.000002598360 1.00006054
11/23/2020 0.0951 0.5686 0.0951 0.0951 50 73 0.000002598360 1.00006138
11/22/2020 0.0951 0.5701 0.0951 0.0951 50 73 0.000002598287 1.00005928
11/21/2020 0.0951 0.5715 0.0951 0.0951 51 74 0.000002598284 1.00006092
11/20/2020 0.0951 0.5730 0.0951 0.0951 51 75 0.000002598512 1.00006255
11/19/2020 0.0951 0.5745 0.0951 0.0951 52 75 0.000002598361 1.00006803
11/18/2020 0.0951 0.5759 0.0951 0.0951 51 74 0.000002598361 1.00005579
11/17/2020 0.0951 0.5774 0.0951 0.0951 49 73 0.000002598360 1.00004603
11/16/2020 0.0951 0.5789 0.0951 0.0951 50 68 0.000002598361 1.00004543
11/15/2020 0.0951 0.5804 0.0951 0.0951 50 68 0.000002599073 1.00004214
11/14/2020 0.0951 0.5820 0.0951 0.0951 51 69 0.000002599070 1.00004386
11/13/2020 0.0951 0.5835 0.0951 0.0951 51 70 0.000002596990 1.00004557
11/12/2020 0.0951 0.5850 0.0951 0.0951 52 70 0.000002598356 1.00004577
11/11/2020 0.0951 0.5866 0.0951 0.0951 52 70 0.000002598230 1.00005309
11/10/2020 0.0951 0.5881 0.0951 0.0951 53 71 0.000002598493 1.00005480
11/09/2020 0.0951 0.5897 0.0951 0.0951 51 69 0.000002598360 1.00004703
11/08/2020 0.0951 0.5913 0.0951 0.0951 52 70 0.000002598304 1.00004990
11/07/2020 0.0951 0.5929 0.0951 0.0951 52 70 0.000002598304 1.00005165
11/06/2020 0.0951 0.5945 0.0951 0.0948 53 71 0.000002598472 1.00005341
11/05/2020 0.0951 0.5961 0.0951 0.0941 53 71 0.000002598360 1.00005533
11/04/2020 0.0951 0.5977 0.0951 0.0931 50 68 0.000002598362 1.00005086
11/03/2020 0.0951 0.5994 0.0951 0.0918 50 69 0.000002598360 1.00004775
11/02/2020 0.0951 0.6010 0.0951 0.0901 52 70 0.000002598362 1.00007369
11/01/2020 0.0951 0.6026 0.0951 0.0884 52 71 0.000002598392 1.00004974
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NYCLASS PRIME
November 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