Yields

or select a date range:
-

NYCLASS
February 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)
02/28/2021 0.0451 0.0587 0.0494 0.0701 44 72 0.000001235765 1.00004614
02/27/2021 0.0451 0.0589 0.0508 0.0711 45 72 0.000001235767 1.00004701
02/26/2021 0.0451 0.0591 0.0522 0.0718 46 73 0.000001235314 1.00004795
02/25/2021 0.0451 0.0594 0.0537 0.0718 53 73 0.000001235616 1.00005856
02/24/2021 0.0551 0.0596 0.0565 0.0718 53 73 0.000001509588 1.00006114
02/23/2021 0.0551 0.0597 0.0580 0.0714 53 74 0.000001509589 1.00006024
02/22/2021 0.0551 0.0598 0.0594 0.0711 53 74 0.000001509632 1.00005942
02/21/2021 0.0551 0.0599 0.0608 0.0708 52 74 0.000001509698 1.00007315
02/20/2021 0.0551 0.0600 0.0622 0.0704 53 74 0.000001509701 1.00007421
02/19/2021 0.0551 0.0601 0.0637 0.0701 53 75 0.000001509503 1.00007527
02/18/2021 0.0651 0.0602 0.0651 0.0698 54 75 0.000001783561 1.00008212
02/17/2021 0.0651 0.0601 0.0665 0.0691 51 73 0.000001783563 1.00006984
02/16/2021 0.0651 0.0600 0.0680 0.0684 51 73 0.000001783776 1.00005670
02/12/2021 0.0651 0.0595 0.0822 0.0658 51 73 0.000001783442 1.00006166
02/11/2021 0.0751 0.0594 0.0865 0.0651 51 73 0.000002057546 1.00005908
02/10/2021 0.0751 0.0590 0.0894 0.0641 51 74 0.000002057535 1.00006441
02/09/2021 0.0751 0.0586 0.0922 0.0631 52 74 0.000002057534 1.00004310
02/08/2021 0.0951 0.0582 0.0951 0.0621 53 75 0.000002605480 1.00007664
02/07/2021 0.0951 0.0572 0.0951 0.0604 53 76 0.000002605404 1.00008510
02/06/2021 0.0951 0.0562 0.0923 0.0588 54 77 0.000002605404 1.00008624
02/05/2021 0.0951 0.0551 0.0894 0.0571 54 77 0.000002605632 1.00008738
02/04/2021 0.0951 0.0540 0.0865 0.0554 54 77 0.000002605479 1.00006798
02/03/2021 0.0951 0.0527 0.0823 0.0538 53 76 0.000002605474 1.00006115
02/02/2021 0.0951 0.0515 0.0751 0.0521 54 78 0.000002605479 1.00005032
02/01/2021 0.0951 0.0501 0.0680 0.0504 55 78 0.000002605480 1.00005245
  Download .CSV

NYCLASS PRIME
February 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