Fund name As of date NAV type Inception date Class net assets
($)
Portfolio net assets
($)
Treasury
09/28/2020 Constant 08/17/1990 1,318,478,489 1,396,435,085
09/28/2020 Constant 04/12/1984 17,719,678,209 21,084,156,277
09/28/2020 Constant 02/23/2006 10,442,325 1,396,435,085
09/28/2020 Constant 08/01/2005 1,142,524,884 21,084,156,277
09/28/2020 Constant 12/30/1999 340,631 1,396,435,085
09/28/2020 Constant 08/18/1993 370,935,067 21,084,156,277
09/28/2020 Constant 12/30/1999 150,057 1,396,435,085
09/28/2020 Constant 03/06/1996 638,121,127 21,084,156,277
09/28/2020 Constant 12/21/1994 15,104,697 1,396,435,085
09/28/2020 Constant 11/22/1991 389,957,120 21,084,156,277
09/28/2020 Constant 05/31/2001 789,044 1,396,435,085
09/28/2020 Constant 08/08/1991 328,063,808 21,084,156,277
09/28/2020 Constant 06/23/2003 51,129,842 1,396,435,085
09/28/2020 Constant 01/04/1999 494,876,062 21,084,156,277

About risk

1 You could lose money by investing in the Fund. Although the Fund seeks to preserve your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund’s sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time.

2 Average annual total returns reflect reinvested distributions, net of expenses for the periods. The 7-day SEC yield more closely reflects the current earning of the fund than the total returns.