Yields

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NYCLASS
February 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)
02/28/2022 0.0490 0.0368 0.0456 0.0384 54 60 0.000001342 0.99965383
02/27/2022 0.0454 0.0366 0.0445 0.0380 54 60 0.000001243 0.99960361
02/26/2022 0.0454 0.0364 0.0440 0.0376 55 60 0.000001243 0.99960636
02/25/2022 0.0454 0.0363 0.0434 0.0373 55 61 0.000001244 0.99960911
02/24/2022 0.0455 0.0361 0.0428 0.0369 56 62 0.000001247 0.99965419
02/23/2022 0.0437 0.0359 0.0414 0.0366 55 61 0.000001198 0.99957744
02/22/2022 0.0450 0.0358 0.0402 0.0363 56 62 0.000001234 0.99955818
02/21/2022 0.0413 0.0356 0.0388 0.0360 55 61 0.000001132 0.99961791
02/20/2022 0.0413 0.0355 0.0379 0.0358 55 61 0.000001132 0.99962046
02/19/2022 0.0413 0.0354 0.0370 0.0355 56 62 0.000001132 0.99962301
02/18/2022 0.0413 0.0352 0.0361 0.0353 57 63 0.000001132 0.99962556
02/17/2022 0.0358 0.0351 0.0352 0.0351 56 62 0.000000980 0.99959412
02/16/2022 0.0351 0.0351 0.0351 0.0351 55 61 0.000000962 0.99955295
02/15/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99951149
02/14/2022 0.0351 0.0351 0.0351 0.0351 54 60 0.000000962 0.99947169
02/13/2022 0.0351 0.0351 0.0351 0.0351 55 61 0.000000962 0.99950468
02/12/2022 0.0351 0.0351 0.0351 0.0351 55 61 0.000000962 0.99950679
02/11/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000961 0.99950890
02/10/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99945328
02/09/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99965865
02/08/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99964890
02/07/2022 0.0351 0.0351 0.0351 0.0351 55 61 0.000000962 0.99965880
02/06/2022 0.0351 0.0351 0.0351 0.0351 55 61 0.000000962 0.99964453
02/05/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99964637
02/04/2022 0.0351 0.0351 0.0351 0.0351 56 63 0.000000961 0.99964820
02/03/2022 0.0351 0.0351 0.0351 0.0351 56 62 0.000000962 0.99974433
02/02/2022 0.0351 0.0351 0.0351 0.0351 53 60 0.000000962 0.99975727
02/01/2022 0.0351 0.0351 0.0351 0.0351 52 59 0.000000962 0.99973648
  Download .CSV

NYCLASS PRIME
February 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)
02/28/2022 0.2378 0.1863 0.2332 0.1946 41 54 0.000006515 0.99995402
02/27/2022 0.2378 0.1847 0.2275 0.1909 42 55 0.000006515 0.99993305
02/26/2022 0.2378 0.1831 0.2217 0.1873 43 56 0.000006515 0.99993882
02/25/2022 0.2378 0.1813 0.2160 0.1832 43 56 0.000006515 0.99994459
02/24/2022 0.2401 0.1794 0.2103 0.1794 49 66 0.000006577 0.99991782
02/23/2022 0.2355 0.1773 0.2096 0.0000 48 66 0.000006452 0.99989362
02/22/2022 0.2054 0.1752 0.2086 0.0000 41 59 0.000005629 0.99990149
02/21/2022 0.1978 0.1741 0.2096 0.0000 40 59 0.000005420 0.99988055
02/20/2022 0.1978 0.1732 0.2100 0.0000 41 59 0.000005420 0.99988480
02/19/2022 0.1978 0.1722 0.2092 0.0000 41 60 0.000005420 0.99988905
02/18/2022 0.1978 0.1712 0.2084 0.0000 42 61 0.000005420 0.99989331
02/17/2022 0.2353 0.1700 0.2076 0.0000 51 73 0.000006446 0.99984951
02/16/2022 0.2284 0.1670 0.1992 0.0000 49 67 0.000006258 0.99985876
02/15/2022 0.2123 0.1641 0.1918 0.0000 47 64 0.000005816 0.99984785
02/14/2022 0.2003 0.1617 0.1858 0.0000 47 61 0.000005487 0.99983961
02/13/2022 0.1924 0.1597 0.1808 0.0000 45 59 0.000005271 0.99981664
02/12/2022 0.1924 0.1578 0.1768 0.0000 46 60 0.000005271 0.99982134
02/11/2022 0.1924 0.1558 0.1729 0.0000 46 61 0.000005271 0.99982604
02/10/2022 0.1762 0.1535 0.1689 0.0000 44 57 0.000004827 0.99989564
02/09/2022 0.1766 0.1520 0.1676 0.0000 45 57 0.000004839 0.99995716
02/08/2022 0.1705 0.1503 0.1670 0.0000 45 52 0.000004672 0.99996418
02/07/2022 0.1648 0.1487 0.1674 0.0000 45 51 0.000004515 0.99996265
02/06/2022 0.1648 0.1474 0.1637 0.0000 44 50 0.000004514 0.99999939
02/05/2022 0.1648 0.1458 0.1584 0.0000 44 51 0.000004515 1.00000351
02/04/2022 0.1648 0.1439 0.1531 0.0000 45 52 0.000004514 1.00000763
02/03/2022 0.1670 0.1416 0.1477 0.0000 45 51 0.000004574 1.00002183
02/02/2022 0.1727 0.1384 0.1405 0.0000 42 50 0.000004730 1.00002840
02/01/2022 0.1727 0.1335 0.1335 0.0000 43 50 0.000004732 1.00002346
  Download .CSV

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