Yields

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Texas CLASS
September 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
09/30/2024 5.0633 5.4385 5.0629 36 83 0.000138341 1.00044314
09/29/2024 5.0571 5.4399 5.0653 36 83 0.000138173 1.00036122
09/28/2024 5.0571 5.4413 5.0692 36 84 0.000138173 1.00040982
09/27/2024 5.0571 5.4427 5.0730 36 85 0.000138173 1.00045841
09/26/2024 5.0655 5.4441 5.0768 35 83 0.000138401 1.00046928
09/25/2024 5.0700 5.4455 5.1172 35 84 0.000138523 1.00045989
09/24/2024 5.0705 5.4469 5.1689 34 83 0.000138538 1.00044942
09/23/2024 5.0800 5.4484 5.2209 34 84 0.000138797 1.00041653
09/22/2024 5.0840 5.4497 5.2685 34 84 0.000138906 1.00034819
09/21/2024 5.0840 5.4511 5.3150 34 85 0.000138906 1.00039598
09/20/2024 5.0840 5.4525 5.3614 35 86 0.000138906 1.00044377
09/19/2024 5.3480 5.4539 5.4079 35 86 0.000146121 1.00044673
09/18/2024 5.4320 5.4543 5.4160 35 86 0.000148415 1.00024222
09/17/2024 5.4347 5.4544 5.4132 35 86 0.000148488 1.00024484
09/16/2024 5.4130 5.4545 5.4119 35 85 0.000147896 1.00024278
09/15/2024 5.4091 5.4546 5.4110 34 85 0.000147790 1.00013819
09/14/2024 5.4091 5.4548 5.4151 35 86 0.000147790 1.00018538
09/13/2024 5.4091 5.4550 5.4193 35 87 0.000147790 1.00023257
09/12/2024 5.4053 5.4552 5.4234 35 86 0.000147686 1.00021389
09/11/2024 5.4117 5.4554 5.4277 34 86 0.000147862 1.00020862
09/10/2024 5.4261 5.4555 5.4316 34 84 0.000148254 1.00022461
09/09/2024 5.4064 5.4557 5.4311 31 82 0.000147717 1.00023794
09/08/2024 5.4381 5.4559 5.4346 32 83 0.000148583 1.00017204
09/07/2024 5.4381 5.4559 5.4335 32 84 0.000148583 1.00021486
09/06/2024 5.4381 5.4560 5.4324 33 85 0.000148583 1.00025768
09/05/2024 5.4351 5.4561 5.4314 33 84 0.000148501 1.00024183
09/04/2024 5.4389 5.4561 5.4319 33 85 0.000148604 1.00022567
09/03/2024 5.4230 5.4562 5.4322 34 85 0.000148169 1.00022289
09/02/2024 5.4306 5.4564 5.4337 34 85 0.000148378 1.00008628
09/01/2024 5.4306 5.4565 5.4333 34 86 0.000148378 1.00013049
  Download .CSV

Texas CLASS Government
September 2024

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
09/30/2024 4.8105 5.2412 4.8391 12 101 0.000131434 1.00013342
09/29/2024 4.8193 5.2428 4.8532 12 100 0.000131676 1.00014144
09/28/2024 4.8193 5.2443 4.8716 12 101 0.000131676 1.00015649
09/27/2024 4.8193 5.2459 4.8899 13 102 0.000131675 1.00017155
09/26/2024 4.8448 5.2475 4.9082 12 100 0.000132371 1.00014284
09/25/2024 4.8735 5.2490 4.9470 9 98 0.000133155 1.00014565
09/24/2024 4.8868 5.2504 4.9992 9 98 0.000133520 1.00014263
09/23/2024 4.9097 5.2517 5.0517 9 99 0.000134144 1.00013815
09/22/2024 4.9476 5.2530 5.0985 10 98 0.000135179 1.00012865
09/21/2024 4.9476 5.2542 5.1399 10 99 0.000135179 1.00014179
09/20/2024 4.9476 5.2553 5.1813 10 99 0.000135179 1.00015493
09/19/2024 5.1165 5.2565 5.2227 10 99 0.000139796 1.00014324
09/18/2024 5.2385 5.2570 5.2394 9 99 0.000143128 1.00013507
09/17/2024 5.2543 5.2571 5.2395 10 108 0.000143561 1.00011608
09/16/2024 5.2375 5.2571 5.2375 10 108 0.000143100 1.00011545
09/15/2024 5.2374 5.2572 5.2395 10 109 0.000143098 1.00010391
09/14/2024 5.2374 5.2573 5.2422 11 109 0.000143098 1.00011799
09/13/2024 5.2374 5.2573 5.2449 11 110 0.000143098 1.00013208
09/12/2024 5.2335 5.2574 5.2476 11 110 0.000142991 1.00008844
09/11/2024 5.2393 5.2575 5.2498 11 110 0.000143151 1.00008698
09/10/2024 5.2398 5.2576 5.2520 11 111 0.000143163 1.00009963
09/09/2024 5.2517 5.2577 5.2524 9 109 0.000143489 1.00009637
09/08/2024 5.2562 5.2577 5.2527 9 109 0.000143613 1.00009467
09/07/2024 5.2562 5.2577 5.2523 9 109 0.000143613 1.00010718
09/06/2024 5.2563 5.2577 5.2520 9 110 0.000143613 1.00011969
09/05/2024 5.2491 5.2577 5.2516 9 109 0.000143417 1.00008984
09/04/2024 5.2549 5.2577 5.2545 9 109 0.000143577 1.00008636
09/03/2024 5.2422 5.2577 5.2554 10 110 0.000143229 1.00008056
09/02/2024 5.2538 5.2578 5.2565 10 111 0.000143545 1.00008546
09/01/2024 5.2538 5.2578 5.2551 10 111 0.000143545 1.00009870
  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