Yields

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Texas CLASS

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
03/15/2024 5.4585 5.5052 5.4676 39 82 0.000149138 0.99998148
03/14/2024 5.4637 5.5058 5.4697 39 82 0.000149282 0.99998286
03/13/2024 5.4663 5.5064 5.4712 39 82 0.000149351 0.99998296
03/12/2024 5.4669 5.5070 5.4730 39 82 0.000149370 0.99998335
03/11/2024 5.4704 5.5075 5.4749 39 82 0.000149465 0.99998439
03/10/2024 5.4735 5.5081 5.4757 40 82 0.000149549 0.99983011
03/09/2024 5.4735 5.5086 5.4767 41 83 0.000149549 0.99990965
03/08/2024 5.4735 5.5091 5.4778 41 84 0.000149550 0.99998920
03/07/2024 5.4743 5.5096 5.4789 41 84 0.000149572 0.99999448
03/06/2024 5.4788 5.5101 5.4796 41 84 0.000149694 0.99999624
03/05/2024 5.4799 5.5106 5.4798 42 84 0.000149723 1.00000466
03/04/2024 5.4761 5.5111 5.4792 42 83 0.000149619 1.00000668
03/03/2024 5.4811 5.5117 5.4793 43 82 0.000149756 0.99984843
03/02/2024 5.4811 5.5122 5.4781 44 83 0.000149756 0.99993058
03/01/2024 5.4811 5.5127 5.4769 44 84 0.000149756 1.00001273
02/29/2024 5.4794 5.5132 5.4755 44 84 0.000149710 1.00001009
02/28/2024 5.4801 5.5138 5.4743 45 84 0.000149728 1.00001287
02/27/2024 5.4759 5.5143 5.4733 45 82 0.000149615 1.00001420
02/26/2024 5.4765 5.5150 5.4727 45 83 0.000149631 1.00001729
02/25/2024 5.4727 5.5157 5.4720 45 82 0.000149527 0.99986794
02/24/2024 5.4727 5.5165 5.4719 45 82 0.000149527 0.99994979
02/23/2024 5.4710 5.5173 5.4718 46 83 0.000149482 1.00003164
02/22/2024 5.4711 5.5182 5.4719 46 81 0.000149483 1.00003567
02/21/2024 5.4730 5.5191 5.4731 47 81 0.000149535 1.00003963
02/20/2024 5.4719 5.5200 5.4746 47 81 0.000149506 1.00004116
02/19/2024 5.4718 5.5209 5.4760 48 82 0.000149504 0.99979512
02/18/2024 5.4718 5.5219 5.4783 49 83 0.000149504 0.99987880
02/17/2024 5.4718 5.5230 5.4805 49 84 0.000149504 0.99996247
02/16/2024 5.4718 5.5241 5.4827 50 84 0.000149504 1.00004615
02/15/2024 5.4795 5.5252 5.4849 50 84 0.000149714 1.00006772
02/14/2024 5.4833 5.5262 5.4859 50 84 0.000149817 1.00006491
  Download .CSV

Texas CLASS Government

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) WAM Days to Reset WAM Days to Final Daily Dividend Net Asset Value (NAV)
03/15/2024 5.2522 5.2629 5.2552 14 78 0.000143502 1.00007419
03/14/2024 5.2544 5.2631 5.2556 14 76 0.000143563 1.00004139
03/13/2024 5.2581 5.2632 5.2559 14 76 0.000143665 1.00004119
03/12/2024 5.2543 5.2632 5.2560 14 76 0.000143559 1.00004146
03/11/2024 5.2574 5.2634 5.2569 14 76 0.000143645 1.00007408
03/10/2024 5.2551 5.2635 5.2570 14 76 0.000143582 1.00005987
03/09/2024 5.2551 5.2636 5.2576 15 76 0.000143582 1.00008589
03/08/2024 5.2551 5.2637 5.2583 15 77 0.000143581 1.00011191
03/07/2024 5.2564 5.2638 5.2589 15 77 0.000143617 1.00007456
03/06/2024 5.2588 5.2639 5.2584 15 75 0.000143682 1.00007218
03/05/2024 5.2602 5.2640 5.2575 15 75 0.000143721 1.00007363
03/04/2024 5.2582 5.2641 5.2563 15 75 0.000143665 1.00007242
03/03/2024 5.2596 5.2642 5.2551 16 75 0.000143706 1.00005867
03/02/2024 5.2596 5.2642 5.2534 16 76 0.000143706 1.00008548
03/01/2024 5.2596 5.2643 5.2517 16 77 0.000143706 1.00011228
02/29/2024 5.2526 5.2644 5.2500 16 77 0.000143514 1.00007022
02/28/2024 5.2525 5.2646 5.2494 16 77 0.000143511 1.00006350
02/27/2024 5.2521 5.2648 5.2491 16 77 0.000143500 1.00006943
02/26/2024 5.2494 5.2650 5.2492 17 77 0.000143426 1.00006834
02/25/2024 5.2478 5.2653 5.2501 17 78 0.000143382 1.00005600
02/24/2024 5.2478 5.2656 5.2513 17 78 0.000143382 1.00008357
02/23/2024 5.2478 5.2660 5.2524 17 79 0.000143381 1.00011114
02/22/2024 5.2484 5.2663 5.2535 17 78 0.000143400 1.00007611
02/21/2024 5.2507 5.2666 5.2545 18 78 0.000143462 1.00008223
02/20/2024 5.2526 5.2670 5.2553 18 79 0.000143513 1.00008784
02/19/2024 5.2558 5.2673 5.2555 18 79 0.000143600 1.00006220
02/18/2024 5.2558 5.2675 5.2553 18 80 0.000143600 1.00009081
02/17/2024 5.2558 5.2677 5.2549 19 80 0.000143600 1.00011941
02/16/2024 5.2558 5.2680 5.2544 19 81 0.000143600 1.00014799
02/15/2024 5.2548 5.2682 5.2540 19 80 0.000143573 1.00009304
02/14/2024 5.2563 5.2685 5.2523 19 79 0.000143616 1.00008854
  Download .CSV

Performance

Annualized as of March 31, 2024

Time Period Texas CLASS Texas CLASS Government
Inception Date 10/1/2013 12/1/2016
1 year 5.7144% 5.3803%
3 years 2.8886% 2.6149%
5 years 2.2365% 2.0036%
10 years 1.6008% N/A
Since Inception 1.5285% 1.8333%
Benchmark(s) 1 year 3 year 5 year 10 year
ICE BofA US 3-Month Treasury Index 5.2428% 2.5815% 2.0187% 1.3796%


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