Yields

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NYCLASS
March 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)
03/31/2021 0.0451 0.0540 0.0451 0.0451 36 62 0.000001235616 1.00006099
03/30/2021 0.0451 0.0541 0.0451 0.0451 37 63 0.000001235615 1.00006764
03/29/2021 0.0451 0.0542 0.0451 0.0451 38 64 0.000001235617 1.00005041
03/28/2021 0.0451 0.0543 0.0451 0.0451 38 65 0.000001235674 1.00007072
03/27/2021 0.0451 0.0544 0.0451 0.0451 39 65 0.000001235671 1.00007158
03/26/2021 0.0451 0.0545 0.0451 0.0451 39 66 0.000001235507 1.00007243
03/25/2021 0.0451 0.0546 0.0451 0.0454 40 66 0.000001235616 1.00006932
03/24/2021 0.0451 0.0547 0.0451 0.0458 39 66 0.000001235616 1.00007109
03/23/2021 0.0451 0.0549 0.0451 0.0461 40 66 0.000001235618 1.00006684
03/22/2021 0.0451 0.0550 0.0451 0.0464 40 66 0.000001235617 1.00007463
03/21/2021 0.0451 0.0551 0.0451 0.0468 41 67 0.000001235878 1.00007779
03/20/2021 0.0451 0.0552 0.0451 0.0471 41 68 0.000001235878 1.00007872
03/19/2021 0.0451 0.0554 0.0451 0.0478 42 68 0.000001236187 1.00007966
03/18/2021 0.0451 0.0555 0.0451 0.0484 40 67 0.000001235618 1.00007332
03/17/2021 0.0451 0.0556 0.0451 0.0491 40 68 0.000001235618 1.00006316
03/16/2021 0.0451 0.0558 0.0451 0.0498 41 69 0.000001235616 1.00005073
03/15/2021 0.0451 0.0559 0.0451 0.0504 42 70 0.000001235795 1.00005896
03/14/2021 0.0451 0.0561 0.0451 0.0511 43 71 0.000001235767 1.00004528
03/13/2021 0.0451 0.0562 0.0451 0.0518 43 71 0.000001235767 1.00004629
03/12/2021 0.0451 0.0564 0.0451 0.0528 44 72 0.000001235318 1.00004730
03/11/2021 0.0451 0.0565 0.0451 0.0538 44 72 0.000001235644 1.00003844
03/10/2021 0.0451 0.0567 0.0451 0.0548 43 71 0.000001235615 1.00004817
03/09/2021 0.0451 0.0569 0.0451 0.0564 44 72 0.000001235636 1.00004144
03/08/2021 0.0451 0.0570 0.0451 0.0581 43 71 0.000001235616 1.00002171
03/07/2021 0.0451 0.0572 0.0451 0.0598 43 71 0.000001235701 1.00003346
03/06/2021 0.0451 0.0574 0.0451 0.0614 44 72 0.000001235701 1.00003450
03/05/2021 0.0451 0.0576 0.0451 0.0631 44 72 0.000001235449 1.00003555
03/04/2021 0.0451 0.0578 0.0451 0.0648 45 73 0.000001235615 1.00005082
03/03/2021 0.0451 0.0580 0.0451 0.0664 45 73 0.000001235615 1.00005602
03/02/2021 0.0451 0.0582 0.0465 0.0681 45 73 0.000001235617 1.00005307
03/01/2021 0.0451 0.0584 0.0480 0.0691 44 72 0.000001236332 1.00004740
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NYCLASS PRIME
March 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