Yields

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Texas CLASS
January 2025

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/21/2025 4.5257 4.5515 4.5145 49 82 0.000123992 1.00004465
01/20/2025 4.5114 4.5528 4.5144 50 81 0.000123599 0.99987607
01/19/2025 4.5114 4.5550 4.5166 51 82 0.000123599 0.99993447
01/18/2025 4.5114 4.5574 4.5200 51 83 0.000123599 0.99999287
01/17/2025 4.5114 4.5601 4.5235 52 84 0.000123600 1.00005127
01/16/2025 4.5137 4.5632 4.5269 51 83 0.000123664 1.00005074
01/15/2025 4.5163 4.5665 4.5303 51 84 0.000123735 1.00006182
01/14/2025 4.5250 4.5701 4.5343 52 84 0.000123971 1.00005681
01/13/2025 4.5272 4.5735 4.5377 51 84 0.000124032 1.00005819
01/12/2025 4.5354 4.5774 4.5448 51 85 0.000124256 0.99995332
01/11/2025 4.5354 4.5812 4.5558 52 86 0.000124256 1.00001298
01/10/2025 4.5353 4.5858 4.5668 53 87 0.000124256 1.00007263
01/09/2025 4.5373 4.5914 4.5779 52 87 0.000124310 1.00001193
01/08/2025 4.5446 4.5982 4.5932 52 86 0.000124510 1.00007330
01/07/2025 4.5489 4.6058 4.6058 52 86 0.000124626 1.00006275
01/06/2025 4.5767 4.6153 4.6179 48 82 0.000125390 1.00007122
01/05/2025 4.6125 4.6231 4.6315 45 80 0.000126370 0.99995857
01/04/2025 4.6125 4.6257 4.6441 46 81 0.000126370 1.00001781
01/03/2025 4.6125 4.6301 4.6566 47 82 0.000126370 1.00007706
01/02/2025 4.6447 4.6389 4.6692 46 82 0.000127252 1.00007481
01/01/2025 4.6331 4.6331 4.6696 46 82 0.000126935 1.00001510
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Texas CLASS Government
January 2025

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
01/21/2025 4.2554 4.2815 4.2583 15 107 0.000116586 1.00006612
01/20/2025 4.2597 4.2828 4.2596 15 108 0.000116704 1.00005538
01/19/2025 4.2597 4.2840 4.2607 15 109 0.000116704 1.00007527
01/18/2025 4.2597 4.2854 4.2625 16 109 0.000116704 1.00009516
01/17/2025 4.2597 4.2869 4.2642 16 110 0.000116704 1.00011505
01/16/2025 4.2563 4.2886 4.2660 16 110 0.000116612 1.00007040
01/15/2025 4.2579 4.2908 4.2676 16 109 0.000116656 1.00006942
01/14/2025 4.2639 4.2931 4.2689 16 111 0.000116819 1.00006885
01/13/2025 4.2675 4.2954 4.2693 16 109 0.000116918 1.00006599
01/12/2025 4.2721 4.2977 4.2721 16 108 0.000117044 1.00006130
01/11/2025 4.2721 4.3000 4.2797 17 108 0.000117044 1.00008190
01/10/2025 4.2721 4.3028 4.2873 17 109 0.000117044 1.00010250
01/09/2025 4.2675 4.3062 4.2949 17 108 0.000116918 1.00005561
01/08/2025 4.2672 4.3110 4.3080 17 107 0.000116910 1.00007597
01/07/2025 4.2668 4.3173 4.3173 17 107 0.000116900 1.00007676
01/06/2025 4.2869 4.3257 4.3265 17 108 0.000117450 1.00008258
01/05/2025 4.3252 4.3335 4.3352 18 109 0.000118497 1.00007785
01/04/2025 4.3252 4.3355 4.3424 18 109 0.000118497 1.00009909
01/03/2025 4.3252 4.3390 4.3497 18 110 0.000118497 1.00012034
01/02/2025 4.3598 4.3459 4.3569 18 108 0.000119446 1.00009213
01/01/2025 4.3321 4.3321 4.3548 18 107 0.000118687 1.00008829
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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