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Treasury Obligations
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Investment StrategySeeks to provide maximum current income and daily liquidity by purchasing U.S. Treasury securities and repurchase agreements collateralized by such obligations. |
Fund Facts press enter to select
% Yield press enter to select
Portfolio Total Net Assets press enter to select
Fund Performance press enter to select
Portfolio Liquidity 1 press enter to select
Portfolio Allocation 2 press enter to select
Bank Exposure By Country of Domicile 2,3 press enter to select
Enhanced Disclosure Report
Daily report includes Market NAV, Net Shareholder Flows, Portfolio Daily and Weekly Liquid Assets
Portfolio Holdings
Report includes Portfolio Maturity, Portfolio Allocation and, if applicable, Bank Exposure by Country of Domicile information
The fund is required to provide the Securities and Exchange Commission ("SEC") with a monthly electronic filing of more detailed portfolio holdings information on Form N-MFP. Click here to access the fund's publicly available Form N-MFP filings on the SEC's website.