Yields

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NYCLASS
August 2024

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)
08/31/2024 5.1443 5.2179 5.1430 5.1590 32 84 0.000140555 1.00019733
08/30/2024 5.1443 5.2182 5.1439 5.1600 33 85 0.000140554 1.00027524
08/29/2024 5.1353 5.2185 5.1447 5.1614 33 85 0.000140308 1.00006621
08/28/2024 5.1588 5.2188 5.1454 5.1630 33 85 0.000140952 1.00008002
08/27/2024 5.1354 5.2191 5.1444 5.1636 33 85 0.000140312 1.00009022
08/26/2024 5.1330 5.2194 5.1454 5.1650 33 85 0.000140245 1.00006530
08/25/2024 5.1502 5.2198 5.1508 5.1664 33 86 0.000140716 1.00010350
08/24/2024 5.1502 5.2201 5.1514 5.1672 34 87 0.000140716 1.00018204
08/23/2024 5.1502 5.2204 5.1520 5.1682 35 88 0.000140715 1.00026058
08/22/2024 5.1401 5.2207 5.1526 5.1696 35 88 0.000140440 1.00008315
08/21/2024 5.1514 5.2210 5.1551 5.1709 35 88 0.000140748 1.00010615
08/20/2024 5.1428 5.2213 5.1599 5.1721 35 88 0.000140513 1.00008981
08/19/2024 5.1710 5.2217 5.1627 5.1736 34 86 0.000141284 1.00004766
08/18/2024 5.1543 5.2219 5.1639 5.1742 34 87 0.000140828 1.00006216
08/17/2024 5.1543 5.2222 5.1656 5.1753 35 88 0.000140828 1.00014122
08/16/2024 5.1543 5.2225 5.1672 5.1762 35 89 0.000140829 1.00022027
08/15/2024 5.1573 5.2228 5.1688 5.1774 35 89 0.000140911 1.00005657
08/14/2024 5.1853 5.2231 5.1694 5.1778 35 84 0.000141676 1.00006775
08/13/2024 5.1620 5.2232 5.1679 5.1780 35 84 0.000141038 1.00008256
08/12/2024 5.1800 5.2235 5.1679 5.1792 36 82 0.000141529 1.00007290
08/11/2024 5.1657 5.2237 5.1664 5.1798 36 82 0.000141140 1.00006942
08/10/2024 5.1657 5.2240 5.1689 5.1809 37 83 0.000141140 1.00015063
08/09/2024 5.1657 5.2242 5.1715 5.1815 38 84 0.000141140 1.00023185
08/08/2024 5.1615 5.2245 5.1739 5.1824 38 84 0.000141023 1.00008250
08/07/2024 5.1746 5.2248 5.1759 5.1832 38 76 0.000141381 1.00006829
08/06/2024 5.1625 5.2250 5.1773 5.1839 39 77 0.000141051 1.00006271
08/05/2024 5.1690 5.2253 5.1803 5.1849 39 78 0.000141228 1.00008715
08/04/2024 5.1836 5.2256 5.1818 5.1857 44 78 0.000141627 1.00016478
08/03/2024 5.1836 5.2258 5.1806 5.1859 44 79 0.000141627 1.00024803
08/02/2024 5.1827 5.2260 5.1794 5.1860 45 80 0.000141604 1.00033129
08/01/2024 5.1755 5.2262 5.1783 5.1862 45 80 0.000141407 1.00007784
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NYCLASS PRIME
August 2024

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)
08/31/2024 5.3031 5.3360 5.3013 5.3111 40 61 0.000144893 1.00015437
08/30/2024 5.3031 5.3362 5.3001 5.3126 41 62 0.000144893 1.00021432
08/29/2024 5.3058 5.3363 5.2988 5.3136 41 62 0.000144968 1.00021318
08/28/2024 5.3059 5.3364 5.2972 5.3145 41 62 0.000144969 1.00020764
08/27/2024 5.2983 5.3366 5.2962 5.3155 40 61 0.000144763 1.00021183
08/26/2024 5.2989 5.3367 5.2978 5.3169 40 60 0.000144779 1.00021777
08/25/2024 5.2943 5.3369 5.2970 5.3182 40 60 0.000144653 1.00008459
08/24/2024 5.2943 5.3371 5.2985 5.3197 41 61 0.000144653 1.00014547
08/23/2024 5.2943 5.3372 5.3000 5.3210 42 62 0.000144652 1.00020635
08/22/2024 5.2943 5.3374 5.3016 5.3221 42 61 0.000144652 1.00020818
08/21/2024 5.2988 5.3376 5.3035 5.3230 42 62 0.000144776 1.00021216
08/20/2024 5.3098 5.3378 5.3055 5.3239 42 62 0.000145075 1.00020892
08/19/2024 5.2930 5.3379 5.3061 5.3245 42 61 0.000144618 1.00021296
08/18/2024 5.3051 5.3381 5.3084 5.3257 42 62 0.000144948 1.00011539
08/17/2024 5.3051 5.3382 5.3085 5.3265 43 63 0.000144948 1.00017370
08/16/2024 5.3051 5.3384 5.3086 5.3274 44 64 0.000144949 1.00023201
08/15/2024 5.3073 5.3385 5.3088 5.3282 44 62 0.000145008 1.00023359
08/14/2024 5.3133 5.3387 5.3113 5.3287 44 62 0.000145173 1.00024243
08/13/2024 5.3138 5.3388 5.3145 5.3288 44 62 0.000145186 1.00023470
08/12/2024 5.3092 5.3389 5.3175 5.3292 45 61 0.000145059 1.00022862
08/11/2024 5.3059 5.3390 5.3225 5.3298 45 61 0.000144969 1.00012012
08/10/2024 5.3059 5.3392 5.3275 5.3304 46 62 0.000144969 1.00018136
08/09/2024 5.3059 5.3393 5.3325 5.3311 46 63 0.000144969 1.00024261
08/08/2024 5.3250 5.3395 5.3375 5.3317 47 65 0.000145493 1.00027012
08/07/2024 5.3356 5.3395 5.3410 5.3316 47 65 0.000145781 1.00021709
08/06/2024 5.3353 5.3395 5.3406 5.3314 48 67 0.000145773 1.00012683
08/05/2024 5.3436 5.3396 5.3400 5.3312 49 68 0.000146001 1.00016115
08/04/2024 5.3411 5.3395 5.3391 5.3306 49 68 0.000145931 0.99993045
08/03/2024 5.3411 5.3395 5.3387 5.3302 49 69 0.000145931 0.99999353
08/02/2024 5.3411 5.3395 5.3384 5.3298 50 70 0.000145931 1.00005662
08/01/2024 5.3491 5.3395 5.3380 5.3294 50 70 0.000146150 0.99995900
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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