Fund name As of date NAV type Inception date Class net assets
($)
Portfolio net assets
($)
Prime
05/11/2026 Constant 02/25/2005 10,072,820,302 10,364,468,256
05/11/2026 Constant 09/01/2016 595,302 10,364,468,256
05/11/2026 Constant 09/01/2016 28,363 10,364,468,256
05/11/2026 Constant 09/01/2016 46,280 10,364,468,256
05/11/2026 Constant 09/01/2016 11,829 10,364,468,256
05/11/2026 Constant 04/26/1988 290,966,180 10,364,468,256
Government
05/11/2026 Constant 05/24/2019 3,053,555 1,113,326,502
05/11/2026 Constant 06/07/2024 1,168,720,176 81,464,204,873
05/11/2026 Constant 12/18/2020 11,652,852,896 81,464,204,873
05/11/2026 Constant 09/01/1998 65,545,262,567 81,464,204,873
05/11/2026 Constant 06/28/2006 22,392,374,007 24,373,335,190
05/11/2026 Constant 06/30/2005 235,397,261 81,464,204,873
05/11/2026 Constant 09/01/1998 477,803,011 81,464,204,873
05/11/2026 Constant 09/01/1998 145,646,665 81,464,204,873
05/11/2026 Constant 09/01/1998 1,006,055,064 81,464,204,873
05/11/2026 Constant 01/31/2000 90,263,070 81,464,204,873
05/11/2026 Constant 01/26/2000 1,142,204,163 81,464,204,873
05/11/2026 Constant 04/26/1991 1,980,961,184 24,373,335,190
05/11/2026 Constant 09/30/2003 188,668,433 6,219,936,795
05/11/2026 Constant 05/24/2019 47,236,284 1,113,326,502
05/11/2026 Constant 10/16/1993 4,921,599,812 6,219,936,795
05/11/2026 Constant 05/15/2020 311,199,414 6,219,936,795
05/11/2026 Constant 06/07/2010 56,964,733 6,219,936,795
05/11/2026 Constant 05/24/2019 7,001,509 1,113,326,502
05/11/2026 Constant 08/04/1997 109,667,413 6,219,936,795
05/11/2026 Constant 06/07/2010 73,964 6,219,936,795
05/11/2026 Constant 05/24/2019 13,504,841 1,113,326,502
05/11/2026 Constant 06/03/2002 190,105,479 6,219,936,795
05/11/2026 Constant 04/04/2017 11,536,115 6,219,936,795
05/11/2026 Constant 01/02/1987 1,042,530,312 1,113,326,502
05/11/2026 Constant 10/03/2008 430,121,433 6,219,936,795
Treasury
05/11/2026 Constant 12/18/2020 2,158,282,818 40,542,737,851
05/11/2026 Constant 08/17/1990 1,155,763,316 1,453,017,589
05/11/2026 Constant 04/12/1984 32,869,962,595 40,542,737,851
05/11/2026 Constant 02/23/2006 12,406 1,453,017,589
05/11/2026 Constant 08/01/2005 1,712,017,187 40,542,737,851
05/11/2026 Constant 12/30/1999 9,560,925 1,453,017,589
05/11/2026 Constant 08/18/1993 350,864,778 40,542,737,851
05/11/2026 Constant 12/30/1999 9,352,248 1,453,017,589
05/11/2026 Constant 03/06/1996 19,390,342 40,542,737,851
05/11/2026 Constant 12/21/1994 116,043,126 1,453,017,589
05/11/2026 Constant 11/22/1991 1,582,548,141 40,542,737,851
05/11/2026 Constant 05/31/2001 61,842 1,453,017,589
05/11/2026 Constant 08/08/1991 1,235,324,878 40,542,737,851
05/11/2026 Constant 06/23/2003 162,223,726 1,453,017,589
05/11/2026 Constant 01/04/1999 614,347,112 40,542,737,851

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 a bank account and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund’s sponsor is not required to reimburse the Fund for losses, and you should not expect that the sponsor will provide financial support to the Fund at any time, including during periods of market stress.

2 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 a bank account and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund may impose a fee upon the sale of your shares. The Fund's sponsor is not required to reimburse the Fund for losses, and you should not expect that the sponsor will provide financial support to the Fund at any time, including during periods of market stress.

3 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.