Yields

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Texas CLASS
June 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
06/30/2024 5.4391 5.4624 5.4294 25 78 0.000148610 0.99985280
06/29/2024 5.4391 5.4625 5.4274 26 79 0.000148610 0.99990318
06/28/2024 5.4391 5.4626 5.4253 26 80 0.000148610 0.99995355
06/27/2024 5.4340 5.4627 5.4232 25 78 0.000148469 0.99994568
06/26/2024 5.4280 5.4629 5.4221 24 77 0.000148306 0.99994496
06/25/2024 5.4096 5.4631 5.4197 24 77 0.000147803 0.99994662
06/24/2024 5.4170 5.4634 5.4200 25 79 0.000148005 0.99994900
06/23/2024 5.4247 5.4637 5.4203 25 78 0.000148215 0.99987443
06/22/2024 5.4247 5.4639 5.4196 25 79 0.000148215 0.99992554
06/21/2024 5.4247 5.4641 5.4189 26 80 0.000148216 0.99997666
06/20/2024 5.4263 5.4644 5.4181 25 80 0.000148259 0.99997841
06/19/2024 5.4112 5.4646 5.4174 24 79 0.000147847 0.99990600
06/18/2024 5.4112 5.4649 5.4203 25 80 0.000147847 0.99995632
06/17/2024 5.4191 5.4652 5.4224 23 80 0.000148063 0.99995646
06/16/2024 5.4197 5.4655 5.4243 24 81 0.000148080 0.99984996
06/15/2024 5.4197 5.4658 5.4266 24 82 0.000148080 0.99990127
06/14/2024 5.4197 5.4660 5.4288 25 83 0.000148080 0.99995258
06/13/2024 5.4211 5.4663 5.4310 25 83 0.000148117 0.99994058
06/12/2024 5.4315 5.4666 5.4328 25 85 0.000148401 0.99996308
06/11/2024 5.4259 5.4668 5.4330 25 84 0.000148248 0.99995502
06/10/2024 5.4326 5.4671 5.4351 24 84 0.000148431 0.99994749
06/09/2024 5.4354 5.4673 5.4352 24 83 0.000148508 0.99983534
06/08/2024 5.4354 5.4675 5.4351 24 84 0.000148508 0.99988872
06/07/2024 5.4354 5.4677 5.4349 25 85 0.000148508 0.99994211
06/06/2024 5.4333 5.4679 5.4347 24 84 0.000148452 0.99993883
06/05/2024 5.4327 5.4681 5.4349 24 82 0.000148433 0.99993997
06/04/2024 5.4408 5.4683 5.4345 24 82 0.000148656 0.99993538
06/03/2024 5.4336 5.4685 5.4322 24 82 0.000148459 0.99994170
06/02/2024 5.4341 5.4687 5.4311 24 81 0.000148473 0.99980033
06/01/2024 5.4341 5.4690 5.4299 24 82 0.000148473 0.99985667
  Download .CSV

Texas CLASS Government
June 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
06/30/2024 5.2486 5.2596 5.2369 6 91 0.000143406 1.00004143
06/29/2024 5.2486 5.2596 5.2369 7 91 0.000143406 1.00005424
06/28/2024 5.2486 5.2597 5.2369 7 92 0.000143405 1.00006705
06/27/2024 5.2332 5.2598 5.2369 7 91 0.000142983 1.00004180
06/26/2024 5.2273 5.2599 5.2401 7 94 0.000142821 1.00004001
06/25/2024 5.2102 5.2601 5.2443 7 91 0.000142355 1.00003884
06/24/2024 5.2418 5.2604 5.2510 8 100 0.000143219 1.00004603
06/23/2024 5.2486 5.2605 5.2512 8 97 0.000143404 1.00004147
06/22/2024 5.2486 5.2605 5.2506 8 98 0.000143404 1.00005640
06/21/2024 5.2486 5.2606 5.2501 9 98 0.000143404 1.00007133
06/20/2024 5.2553 5.2607 5.2496 9 99 0.000143588 1.00004739
06/19/2024 5.2571 5.2607 5.2482 9 99 0.000143636 1.00002816
06/18/2024 5.2571 5.2607 5.2475 9 100 0.000143636 1.00004315
06/17/2024 5.2429 5.2608 5.2470 9 100 0.000143249 1.00002829
06/16/2024 5.2449 5.2609 5.2512 9 101 0.000143303 1.00002552
06/15/2024 5.2449 5.2610 5.2550 9 102 0.000143304 1.00004053
06/14/2024 5.2449 5.2611 5.2589 9 102 0.000143304 1.00005554
06/13/2024 5.2457 5.2612 5.2627 9 102 0.000143326 1.00002396
06/12/2024 5.2517 5.2612 5.2678 9 103 0.000143488 1.00001276
06/11/2024 5.2538 5.2613 5.2709 9 102 0.000143548 1.00001011
06/10/2024 5.2723 5.2614 5.2745 10 102 0.000144051 0.99994433
06/09/2024 5.2719 5.2613 5.2718 9 95 0.000144041 0.99993680
06/08/2024 5.2719 5.2612 5.2708 9 96 0.000144041 0.99995486
06/07/2024 5.2719 5.2611 5.2699 10 96 0.000144040 0.99997293
06/06/2024 5.2811 5.2611 5.2690 9 96 0.000144293 0.99995472
06/05/2024 5.2733 5.2610 5.2671 9 96 0.000144079 0.99995149
06/04/2024 5.2789 5.2609 5.2655 10 96 0.000144231 0.99994949
06/03/2024 5.2535 5.2608 5.2628 10 96 0.000143537 0.99994481
06/02/2024 5.2654 5.2608 5.2640 11 104 0.000143862 0.99992627
06/01/2024 5.2654 5.2608 5.2634 11 105 0.000143862 0.99994711
  Download .CSV

Performance

Annualized as of June 30, 2024

Time Period Texas CLASS Texas CLASS Government
Inception Date 10/1/2013 12/1/2016
1 year 5.7839% 5.4842%
3 years 3.3545% 3.0670%
5 years 2.3865% 2.1510%
10 years 1.7380% N/A
Since Inception 1.6225% 1.9510%
Benchmark(s) 1 year 3 year 5 year 10 year
ICE BofA US 3-Month Treasury Index 5.4023% 3.0322% 2.1571% 1.5119%


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