Yields

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Texas CLASS
January 2023

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/31/2023 4.6103 4.5742 4.6100 40 73 0.000126308 1.00016741
01/30/2023 4.6126 4.5730 4.6073 39 73 0.000126373 1.00015185
01/29/2023 4.6055 4.5716 4.6045 38 73 0.000126177 1.00004662
01/28/2023 4.6055 4.5704 4.6023 39 74 0.000126177 1.00010316
01/27/2023 4.6055 4.5691 4.6001 39 75 0.000126177 1.00015971
01/26/2023 4.6083 4.5677 4.5978 40 74 0.000126255 1.00012993
01/25/2023 4.6223 4.5661 4.5945 40 75 0.000126640 1.00010750
01/24/2023 4.5915 4.5637 4.5894 39 74 0.000125794 1.00011388
01/23/2023 4.5929 4.5625 4.5889 38 74 0.000125833 1.00011155
01/22/2023 4.5899 4.5611 4.5864 37 74 0.000125751 1.00000625
01/21/2023 4.5899 4.5598 4.5844 38 75 0.000125751 1.00005988
01/20/2023 4.5899 4.5582 4.5824 38 76 0.000125751 1.00011350
01/19/2023 4.5851 4.5566 4.5803 37 76 0.000125619 1.00011338
01/18/2023 4.5862 4.5550 4.5797 37 76 0.000125650 1.00010889
01/17/2023 4.5883 4.5532 4.5776 38 78 0.000125707 1.00010717
01/16/2023 4.5757 4.5510 4.5744 37 76 0.000125360 0.99995262
01/15/2023 4.5757 4.5493 4.5714 37 77 0.000125360 1.00000482
01/14/2023 4.5757 4.5474 4.5663 38 78 0.000125360 1.00005702
01/13/2023 4.5756 4.5453 4.5612 38 79 0.000125360 1.00010922
01/12/2023 4.5811 4.5427 4.5561 38 79 0.000125508 1.00009984
01/11/2023 4.5714 4.5392 4.5486 37 78 0.000125245 1.00012728
01/10/2023 4.5658 4.5360 4.5422 37 78 0.00012509 1.00022908
01/09/2023 4.5544 4.5327 4.5361 34 77 0.000124779 1.00005846
01/08/2023 4.5399 4.5300 4.5313 34 75 0.000124380 0.99995472
01/07/2023 4.5399 4.5286 4.5286 34 76 0.000124380 1.00000352
01/06/2023 4.5399 4.5267 4.5259 35 77 0.000124380 1.00005233
01/05/2023 4.5288 4.5241 4.5232 32 75 0.000124076 1.00003691
01/04/2023 4.5271 4.5229 4.5215 31 75 0.000124029 1.00003636
01/03/2023 4.5225 4.5215 4.5204 31 74 0.000123904 1.00000022
01/02/2023 4.5211 4.5211 4.5170 32 75 0.000123865 0.99985288
01/01/2023 4.5211 4.5211 4.5141 32 76 0.000123865 0.99990002
  Download .CSV

Texas CLASS Government
January 2023

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/31/2023 4.1276 4.1112 4.1295 19 92 0.000113084 0.99977583
01/30/2023 4.1329 4.1107 4.1294 19 93 0.000113230 0.99977739
01/29/2023 4.1312 4.1099 4.1289 19 93 0.000113182 0.99977972
01/28/2023 4.1312 4.1091 4.1293 19 93 0.000113182 0.99980115
01/27/2023 4.1312 4.1083 4.1297 20 94 0.000113182 0.99982259
01/26/2023 4.1270 4.1075 4.1301 19 93 0.000113068 0.99976815
01/25/2023 4.1257 4.1067 4.1307 19 93 0.000113034 0.99977389
01/24/2023 4.1267 4.1059 4.1312 19 93 0.000113060 0.99973383
01/23/2023 4.1295 4.1050 4.1271 20 94 0.000113138 0.99972517
01/22/2023 4.1339 4.1039 4.1239 20 94 0.000113256 0.99972411
01/21/2023 4.1339 4.1024 4.1200 20 95 0.000113256 0.99974498
01/20/2023 4.1339 4.1009 4.1162 21 96 0.000113257 0.99976585
01/19/2023 4.1314 4.0991 4.1123 20 95 0.000113190 0.99973108
01/18/2023 4.1291 4.0973 4.1079 20 95 0.000113127 0.99972190
01/17/2023 4.0982 4.0955 4.1045 20 94 0.000112280 0.99972170
01/16/2023 4.1068 4.0953 4.1047 20 94 0.000112516 0.99971458
01/15/2023 4.1068 4.0945 4.1030 20 95 0.000112516 0.99973492
01/14/2023 4.1068 4.0936 4.1017 21 96 0.000112516 0.99975526
01/13/2023 4.1068 4.0926 4.1005 21 96 0.000112516 0.99977561
01/12/2023 4.1007 4.0914 4.0992 20 95 0.000112347 0.99969705
01/11/2023 4.1051 4.0906 4.0985 21 96 0.000112467 0.99966679
01/10/2023 4.0999 4.0891 4.0951 21 96 0.000112325 0.99962104
01/09/2023 4.0949 4.0880 4.0921 19 94 0.00011219 0.99966516
01/08/2023 4.0980 4.0871 4.0890 20 97 0.000112273 0.99967068
01/07/2023 4.0980 4.0855 4.0855 20 97 0.000112273 0.99968986
01/06/2023 4.0979 4.0835 4.0820 20 98 0.000112272 0.99970903
01/05/2023 4.0960 4.0806 4.0785 20 97 0.000112219 0.99965116
01/04/2023 4.0810 4.0767 4.0724 19 97 0.000111808 0.99967636
01/03/2023 4.0790 4.0753 4.0716 20 97 0.000111753 0.99964600
01/02/2023 4.0734 4.0734 4.0706 20 98 0.000111601 0.99965413
01/01/2023 4.0734 4.0734 4.0708 20 98 0.000111601 0.99967374
  Download .CSV

Performance

Annualized as of December 31, 2023

Time Period Texas CLASS Texas CLASS Government
Inception Date 10/1/2013 12/1/2016
1 year 5.5009% 5.1171%
3 years 2.4286% 2.1710%
5 years 2.0884% 1.8576%
10 years 1.4638% N/A
Since Inception 1.4302% 1.7098%
Benchmark(s) 1 year 3 year 5 year 10 year
ICE BofA US 3-Month Treasury Index 5.0155% 2.1518% 1.8789% 1.2508%


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