Trans NAV
This amount is the net asset value per share ("NAV") of the Fund caluclated using amortized cost. The Fund transacts (trades) using this price.
MTM NAV
Mark-to-Market : Daily determination of the current fair market value of a security or instrument for determining the NAV of a security or instrument, or a portfolio of securities/ instruments, based on prevailing prices in the market for a security or instrument. The mark-to-market may differ from the fair market value that can actually be obtained for a security or instrument in a market transaction.
WAM
WAM (Weighted Average Maturity) is a measure of a fund's sensitivity to interest rate movements utilizing the interest-rate reset date and not a security's stated final maturity.
WAL
WAL (Weighted Average Life) is a measure of a fund's sensitivity to credit spreads or liquidity conditions utilizing a security's stated final maturity date or the date of the next demand feature. WAL does not reflect changes in the interest rate reset date.
Daily Factor
A decimal representing the portion of an annual yield earned in one day.
†The subsidized yield reflects the yield calculation with voluntary reduction currently in effect. Without the reduction returns would have been lower.
Yield quotations more closely reflect the current earnings of money market funds than the total return quotations. Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted.
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