Fund Class Yield Data

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Historic Portfolio Yields NCIP

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Daily Yield Data 1NCIP

Current Yields & Dividend Factor - As of July 1, 2026

Current 7-Day SEC Yield

3.3500%

Current 1-Day SEC Yield

3.5000%

Current 30-Day SEC Yield

3.1000%

Prior Monthly Distribution Yield

3.4900%

Current Daily Dividend Factor

0.000006881

Date

Historic 7-Day SEC Yield

Effective 7-Day SEC Yield

Historic 1-Day SEC Yield

Historic 30-Day SEC Yield

Effective 30-Day SEC Yield

Dividend Factor

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

3/30/2026

0.0097046

3.5340

3.5340

3.54219

0.035140

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Date

3/30/2026

Historic 7-Day SEC Yield

0.0097046

Effective 7-Day SEC Yield

3.5340

Historic 1-Day SEC Yield

3.5340

Historic 30-Day SEC Yield

3.54219

Effective 30-Day SEC Yield

0.035140

Dividend Factor

23.67

Daily Fund Characteristics 2 NCIP

Portfolio Characteristics

Transaction NAV

$1.00

NAV Daily

$1.000002

Current WAM

50

Current WAL

52

Current Daily Liquid Assets

54.9%

Current Weekly Liquid Assets

74.3%

Prior Month Expense Ratio

0.26%

Prior Month End Portfolio Net Assets

$3,560,235

Date

Transaction NAV

NAV’s Historical

Historic WAM

Historic WAL

Historic Daily Liquid Assets

Historic Weekly Liquid Assets

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

3/30/2026

1.00

3.5340

3.5340

3.54219

54.9%

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%

Date

3/30/2026

Transaction NAV

1.00

NAV’s Historical

3.5340

Historic WAM

3.5340

Historic WAL

3.54219

Historic Daily Liquid Assets

54.9%

Historic Weekly Liquid Assets

74.3%