Yields

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Texas CLASS
January 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/31/2024 5.5046 5.5403 5.5161 52 84 0.000150400 1.00013411
01/30/2024 5.5170 5.5415 5.5188 52 83 0.000150737 1.00012410
01/29/2024 5.5232 5.5423 5.5197 50 82 0.000150906 1.00013499
01/28/2024 5.5155 5.5430 5.5212 49 82 0.000150695 0.99998134
01/27/2024 5.5155 5.5440 5.5241 50 83 0.000150695 1.00006627
01/26/2024 5.5155 5.5451 5.5269 51 84 0.000150696 1.00015119
01/25/2024 5.5215 5.5463 5.5297 50 84 0.000150861 1.00015496
01/24/2024 5.5237 5.5473 5.5324 50 84 0.000150920 1.00014247
01/23/2024 5.5230 5.5484 5.5353 50 84 0.000150903 1.00014421
01/22/2024 5.5340 5.5495 5.5383 50 84 0.000151201 1.00014566
01/21/2024 5.5353 5.5503 5.5397 50 83 0.000151238 0.99999000
01/20/2024 5.5353 5.5510 5.5409 51 84 0.000151238 1.00007349
01/19/2024 5.5353 5.5518 5.5421 51 85 0.000151238 1.00015698
01/18/2024 5.5403 5.5527 5.5434 51 84 0.000151375 1.00016590
01/17/2024 5.5439 5.5535 5.5453 51 84 0.000151473 1.00016992
01/16/2024 5.5441 5.5541 5.5471 53 85 0.000151478 1.00018287
01/15/2024 5.5438 5.5547 5.5461 53 85 0.000151469 0.99992160
01/14/2024 5.5438 5.5555 5.5461 53 85 0.000151469 1.00000660
01/13/2024 5.5438 5.5564 5.5470 54 86 0.000151469 1.00009161
01/12/2024 5.5438 5.5575 5.5480 55 87 0.000151469 1.00017661
01/11/2024 5.5539 5.5587 5.5489 54 87 0.000151747 1.00015871
01/10/2024 5.5564 5.5592 5.5507 49 81 0.000151814 1.00018055
01/09/2024 5.5374 5.5595 5.5532 47 79 0.000151296 1.00017649
01/08/2024 5.5436 5.5623 5.5592 47 75 0.000151465 1.00017043
01/07/2024 5.5503 5.5649 5.5650 46 71 0.000151647 0.99998083
01/06/2024 5.5503 5.5674 5.5698 47 72 0.000151647 1.00006410
01/05/2024 5.5503 5.5708 5.5746 47 73 0.000151647 1.00014736
01/04/2024 5.5666 5.5759 5.5794 47 72 0.000152093 1.00015884
01/03/2024 5.5735 5.5790 5.5823 48 71 0.000152281 1.00016016
01/02/2024 5.5796 5.5818 5.5829 48 72 0.000152447 1.00015611
01/01/2024 5.5841 5.5841 5.5822 49 73 0.000152570 0.99990918
  Download .CSV

Texas CLASS Government
January 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/31/2024 5.2449 5.2760 5.2453 22 78 0.000143302 1.00012789
01/30/2024 5.2468 5.2771 5.2444 21 76 0.000143356 1.00011864
01/29/2024 5.2487 5.2781 5.2430 21 74 0.000143406 1.00011696
01/28/2024 5.2450 5.2792 5.2417 20 71 0.000143307 1.00009072
01/27/2024 5.2450 5.2804 5.2408 20 72 0.000143307 1.00011939
01/26/2024 5.2450 5.2818 5.2399 21 72 0.000143307 1.00014807
01/25/2024 5.2415 5.2833 5.2390 21 71 0.000143209 1.00010142
01/24/2024 5.2386 5.2850 5.2392 21 72 0.000143132 1.00009415
01/23/2024 5.2373 5.2870 5.2394 21 70 0.000143095 1.00009228
01/22/2024 5.2395 5.2893 5.2400 22 71 0.000143156 1.00009432
01/21/2024 5.2388 5.2916 5.2738 22 72 0.000143136 1.00008496
01/20/2024 5.2388 5.2943 5.3076 22 72 0.000143136 1.00011448
01/19/2024 5.2388 5.2972 5.3415 23 73 0.000143136 1.00014400
01/18/2024 5.2426 5.3005 5.3753 22 73 0.000143241 1.00010683
01/17/2024 5.2401 5.3039 5.3751 23 74 0.000143173 1.00010534
01/16/2024 5.2415 5.3078 5.3750 23 75 0.000143211 1.00012248
01/15/2024 5.4757 5.3123 5.3749 23 75 0.000149610 1.00007978
01/14/2024 5.4757 5.3006 5.3415 24 75 0.000149610 1.00011043
01/13/2024 5.4757 5.2871 5.3089 24 76 0.000149610 1.00014107
01/12/2024 5.4757 5.2714 5.2763 24 77 0.000149610 1.00017171
01/11/2024 5.2409 5.2528 5.2437 23 70 0.000143195 1.00009095
01/10/2024 5.2395 5.2540 5.2468 20 68 0.000143157 1.00009167
01/09/2024 5.2407 5.2556 5.2521 20 68 0.000143187 1.00009209
01/08/2024 5.2423 5.2575 5.2553 19 67 0.000143233 1.00009729
01/07/2024 5.2474 5.2597 5.2597 19 67 0.000143370 1.00008522
01/06/2024 5.2474 5.2617 5.2633 19 68 0.000143370 1.00011149
01/05/2024 5.2474 5.2646 5.2669 20 68 0.000143370 1.00013776
01/04/2024 5.2633 5.2689 5.2705 20 69 0.000143805 1.00009781
01/03/2024 5.2764 5.2708 5.2726 20 70 0.000144163 1.00009880
01/02/2024 5.2633 5.2680 5.2700 20 70 0.000143805 1.00010113
01/01/2024 5.2726 5.2726 5.2674 21 71 0.000144061 1.00009105
  Download .CSV

Performance

Annualized as of September 30, 2024

Time Period Texas CLASS Texas CLASS Government
Inception Date 10/1/2013 12/1/2016
1 year 5.7712% 5.5084%
3 years 3.8329% 3.5295%
5 years 2.5526% 2.3097%
10 years 1.8780% N/A
Since Inception 1.7146% 2.0636%
Benchmark(s) 1 year 3 year 5 year 10 year
ICE BofA US 3-Month Treasury Index 5.4569% 3.4941% 2.3200% 1.6487%


Data 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. Texas CLASS is not a bank. An investment in Texas CLASS is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although Texas CLASS seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. 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