Yields

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NYCLASS
May 2021

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)
05/31/2021 0.0451 0.0504 0.0451 0.0451 51 70 0.000001235561 1.00004611
05/30/2021 0.0451 0.0504 0.0451 0.0451 52 71 0.000001235564 1.00004665
05/29/2021 0.0451 0.0505 0.0451 0.0451 53 72 0.000001235564 1.00004710
05/28/2021 0.0451 0.0505 0.0451 0.0451 53 73 0.000001235777 1.00004756
05/27/2021 0.0451 0.0505 0.0451 0.0451 50 70 0.000001235616 1.00004921
05/26/2021 0.0451 0.0506 0.0451 0.0451 50 69 0.000001235617 1.00004800
05/25/2021 0.0451 0.0506 0.0451 0.0451 49 69 0.000001235617 1.00004525
05/24/2021 0.0451 0.0507 0.0451 0.0451 50 70 0.000001236135 1.00005070
05/23/2021 0.0451 0.0507 0.0451 0.0451 48 68 0.000001235766 1.00005405
05/22/2021 0.0451 0.0507 0.0451 0.0451 48 69 0.000001235769 1.00005455
05/21/2021 0.0451 0.0508 0.0451 0.0451 49 69 0.000001235313 1.00005504
05/20/2021 0.0451 0.0508 0.0451 0.0451 48 69 0.000001235616 1.00005638
05/19/2021 0.0451 0.0509 0.0451 0.0451 48 69 0.000001235617 1.00005841
05/18/2021 0.0451 0.0509 0.0451 0.0451 49 70 0.000001235616 1.00005357
05/17/2021 0.0451 0.0509 0.0451 0.0451 49 70 0.000001235617 1.00005404
05/16/2021 0.0451 0.0510 0.0451 0.0451 46 68 0.000001235484 1.00005387
05/15/2021 0.0451 0.0510 0.0451 0.0451 47 68 0.000001235481 1.00005440
05/14/2021 0.0451 0.0511 0.0451 0.0451 47 69 0.000001235882 1.00005494
05/13/2021 0.0451 0.0511 0.0451 0.0451 48 69 0.000001235616 1.00005579
05/12/2021 0.0451 0.0512 0.0451 0.0451 48 69 0.000001235615 1.00005106
05/11/2021 0.0451 0.0512 0.0451 0.0451 48 70 0.000001235617 1.00005059
05/10/2021 0.0451 0.0513 0.0451 0.0451 48 69 0.000001235616 1.00004860
05/09/2021 0.0451 0.0513 0.0451 0.0451 47 68 0.000001235534 1.00004675
05/08/2021 0.0451 0.0514 0.0451 0.0451 47 69 0.000001235534 1.00004729
05/07/2021 0.0451 0.0514 0.0451 0.0451 48 69 0.000001235779 1.00004783
05/06/2021 0.0451 0.0515 0.0451 0.0451 48 70 0.000001235840 1.00004864
05/05/2021 0.0451 0.0515 0.0451 0.0451 48 69 0.000001235617 1.00004706
05/04/2021 0.0451 0.0516 0.0451 0.0451 48 69 0.000001235616 1.00004479
05/03/2021 0.0451 0.0516 0.0451 0.0451 47 68 0.000001235615 1.00005042
05/02/2021 0.0451 0.0517 0.0451 0.0451 45 67 0.000001235517 1.00005562
05/01/2021 0.0451 0.0517 0.0451 0.0451 46 68 0.000001235517 1.00005625
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NYCLASS PRIME
May 2021

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