U.S. Equities0.0% | Non-U.S. Equities0.0% | ||
U.S. Bonds6.5% | Non-U.S. Bonds0.0% | ||
Cash & Equivalents |
U.S. Equities0.0% | |
Non-U.S. Equities0.0% | |
U.S. Bonds6.5% | |
Non-U.S. Bonds0.0% | |
Cash & Equivalents |
As of Date | Daily Liquid Assets (%) | Weekly Liquid Assets (%) | Net Flows ($) | Market Value NAV ($) |
---|---|---|---|---|
7/17/25 | 62.73 | 88.24 | -28,516,197.13 | 1.0000 |
7/16/25 | 62.27 | 88.14 | -30,476,224.98 | 1.0000 |
7/15/25 | 62.47 | 88.38 | -21,043,689.34 | 1.0000 |
7/14/25 | 61.95 | 87.59 | -27,119,649.43 | 1.0000 |
7/11/25 | 63.09 | 86.48 | -28,040,447.83 | 1.0002 |
7/10/25 | 62.91 | 85.82 | -6,096,187.31 | 1.0000 |
Fund Inception | 5/01/2009 |
Fund Assets (millions) As of 6/30/2025
|
$35,836.5 |
Shareholder Accounts
Shareholder accounts are as of 6/30/2025
|
564,285 |
Regular Dividends Paid |
Monthly |
Minimum Initial Investment | $1,000 |
Capital Gains Paid
|
Dec |
Fiscal Year-End | Sep |
Prospectus Date | 12/01/2024 |
CUSIP | 02630U 10 7 |
Fund Number | 59 |
7-Day SEC Yield
|
7-Day SEC Yield
|
|
Fund at NAV | 3.83% | 3.80% |
Fund at MOP | N/A | N/A |
U.S. Treasuries 40.9% | |
Government Agency Securities 34.3% | |
Repurchase Agreements 17.6% | |
Agency Notes & Bonds 7.2% |
% of net assets as of 6/30/2025 (updated monthly)
% of net assets as of 6/30/2025 (updated monthly)
2016-2025 |
2025 |
Record Date |
Calculated Date |
Pay Date | Reinvest NAV | ||||
Daily | 01/31/25 | 02/03/25 | $0.0033408 | $0.00 | $0.00 | $0.00 | $1.00 |
Daily | 02/28/25 | 03/03/25 | $0.0029552 | $0.00 | $0.00 | $0.00 | $1.00 |
Daily | 03/31/25 | 04/01/25 | $0.0032537 | $0.00 | $0.00 | $0.00 | $1.00 |
Daily | 04/30/25 | 05/01/25 | $0.0031545 | $0.00 | $0.00 | $0.00 | $1.00 |
Daily | 05/30/25 | 06/02/25 | $0.0032479 | $0.00 | $0.00 | $0.00 | $1.00 |
Daily | 06/30/25 | 07/01/25 | $0.0031381 | $0.00 | $0.00 | $0.00 | $1.00 |
2025 Year-to-Date: | Dividends Subtotal: $0.0190902 | Cap Gains Subtotal: $0.00 | |||||
Total Distributions: $0.0190902 |
Rate | As of Date |
---|---|
0.00010503 | 07/01/2025 |
0.00010543 | 07/02/2025 |
0.00010584 | 07/03/2025 |
0.00041945 | 07/07/2025 |
0.00010476 | 07/08/2025 |
0.00010486 | 07/09/2025 |
0.00010488 | 07/10/2025 |
0.00010491 | 07/11/2025 |
0.00031485 | 07/14/2025 |
0.00010515 | 07/15/2025 |
0.00010514 | 07/16/2025 |
0.00010533 | 07/17/2025 |
Record Date | Calculated Date | Payment Date |
---|
Rate | As of-Date | |
---|---|---|
0.00010503 | 07/01/2025 | |
0.00010543 | 07/02/2025 | |
0.00010584 | 07/03/2025 | |
0.00041945 | 07/07/2025 | |
0.00010476 | 07/08/2025 | |
0.00010486 | 07/09/2025 | |
0.00010488 | 07/10/2025 | |
0.00010491 | 07/11/2025 | |
0.00031485 | 07/14/2025 | |
0.00010515 | 07/15/2025 | |
0.00010514 | 07/16/2025 | |
0.00010533 | 07/17/2025 |
Annual Management Fees | 0.27% |
Other Expenses | 0.11% |
Service 12b-1 | 0.13% |
AFAXX | 0.51% |
Lipper U.S. Government Money Market
Funds Average
|
0.44% |
Volatility & Return chart is not available for funds less than 10 years old.