Yields

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NYCLASS
January 2022

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)
01/31/2022 0.0351 0.0351 0.0351 0.0351 51 58 0.000000962 0.99971549
01/30/2022 0.0351 0.0351 0.0351 0.0351 49 55 0.000000962 0.99973036
01/29/2022 0.0351 0.0351 0.0351 0.0351 49 56 0.000000962 0.99973140
01/28/2022 0.0351 0.0351 0.0351 0.0351 50 57 0.000000962 0.99973245
01/27/2022 0.0351 0.0351 0.0351 0.0351 49 56 0.000000962 0.99972691
01/26/2022 0.0351 0.0351 0.0351 0.0351 50 57 0.000000962 0.99975373
01/25/2022 0.0351 0.0351 0.0351 0.0351 50 57 0.000000962 0.99976343
01/24/2022 0.0351 0.0351 0.0351 0.0351 49 56 0.000000962 0.99977107
01/23/2022 0.0351 0.0351 0.0351 0.0351 50 57 0.000000962 0.99977006
01/22/2022 0.0351 0.0351 0.0351 0.0351 50 57 0.000000962 0.99977099
01/21/2022 0.0351 0.0351 0.0351 0.0351 51 58 0.000000962 0.99977192
01/20/2022 0.0351 0.0351 0.0351 0.0351 51 58 0.000000962 0.99976672
01/19/2022 0.0351 0.0351 0.0351 0.0351 50 58 0.000000962 0.99976878
01/18/2022 0.0351 0.0351 0.0351 0.0351 51 58 0.000000962 0.99976434
01/17/2022 0.0351 0.0351 0.0351 0.0351 52 59 0.000000962 0.99981496
01/16/2022 0.0351 0.0351 0.0351 0.0351 53 60 0.000000962 0.99981590
01/15/2022 0.0351 0.0351 0.0351 0.0351 53 61 0.000000962 0.99981683
01/14/2022 0.0351 0.0351 0.0351 0.0351 54 62 0.000000962 0.99981777
01/13/2022 0.0351 0.0351 0.0351 0.0351 54 62 0.000000962 0.99984102
01/12/2022 0.0351 0.0351 0.0351 0.0351 55 62 0.000000962 0.99984475
01/11/2022 0.0351 0.0351 0.0351 0.0351 55 63 0.000000962 0.99984992
01/10/2022 0.0351 0.0351 0.0351 0.0351 56 64 0.000000962 0.99985291
01/09/2022 0.0351 0.0351 0.0351 0.0351 56 64 0.000000962 0.99986476
01/08/2022 0.0351 0.0351 0.0351 0.0351 57 64 0.000000962 0.99986570
01/07/2022 0.0351 0.0351 0.0351 0.0351 57 65 0.000000962 0.99986663
01/06/2022 0.0351 0.0351 0.0351 0.0351 58 66 0.000000962 0.99986996
01/05/2022 0.0351 0.0351 0.0351 0.0351 56 64 0.000000962 0.99988174
01/04/2022 0.0351 0.0351 0.0351 0.0351 57 65 0.000000962 0.99990551
01/03/2022 0.0351 0.0351 0.0351 0.0351 57 65 0.000000962 0.99990365
01/02/2022 0.0351 0.0351 0.0351 0.0351 56 64 0.000000962 0.99992097
01/01/2022 0.0351 0.0351 0.0351 0.0351 57 65 0.000000962 0.99992180
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NYCLASS PRIME
January 2022

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)
01/31/2022 0.1395 0.1269 0.0000 0.0000 40 48 0.000003822 1.00002056
01/30/2022 0.1274 0.1244 0.0000 0.0000 38 45 0.000003491 1.00000186
01/29/2022 0.1274 0.1237 0.0000 0.0000 38 46 0.000003491 1.00000482
01/28/2022 0.1274 0.1224 0.0000 0.0000 39 46 0.000003491 1.00000778
01/27/2022 0.1161 0.1200 0.0000 0.0000 39 39 0.000003180 1.00001248
01/26/2022 0.1238 0.1238 0.0000 0.0000 37 38 0.000003393 1.00003563
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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