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Prime-style local government investment pool 

Enhanced cash local government investment pool 

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Yields

FLCLASS
December 2020

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) 30-Day Yield (%) primeWAM Days to Reset primeWAM Days to Final Daily Dividend Net Asset Value (NAV)
12/31/2020 0.1347 0.7371 0.1734 0.1905 44 54 0.000003680481 1.00002772
12/30/2020 0.1380 0.7388 0.1809 0.1928 44 55 0.000003769533 1.00002680
12/29/2020 0.1889 0.7404 0.1873 0.1952 44 55 0.000005161941 1.00002524
12/28/2020 0.1921 0.7420 0.1866 0.1960 45 56 0.000005249566 1.00002779
12/27/2020 0.1868 0.7435 0.1867 0.1966 45 56 0.000005102396 1.00001880
12/26/2020 0.1868 0.7450 0.1875 0.1975 45 57 0.000005102396 1.00002178
12/25/2020 0.1868 0.7466 0.1883 0.1987 46 58 0.000005102396 1.00002476
12/24/2020 0.1868 0.7481 0.1891 0.2000 47 58 0.000005102412 1.00002774
12/23/2020 0.1829 0.7497 0.1899 0.2013 46 58 0.000004996701 1.00002659
12/22/2020 0.1843 0.7513 0.1917 0.2030 45 58 0.000005035994 1.00002658
12/21/2020 0.1930 0.7529 0.1939 0.2048 47 60 0.000005272002 1.00002724
12/20/2020 0.1923 0.7545 0.1940 0.2064 47 60 0.000005255103 1.00002117
12/19/2020 0.1923 0.7561 0.1939 0.2080 48 61 0.000005255099 1.00002426
12/18/2020 0.1923 0.7576 0.1938 0.2098 49 62 0.000005254753 1.00002735
12/17/2020 0.1922 0.7593 0.1937 0.2115 49 63 0.000005250261 1.00002665
12/16/2020 0.1958 0.7609 0.1933 0.2136 49 63 0.000005348860 1.00003418
12/15/2020 0.1993 0.7625 0.1950 0.2161 49 63 0.000005443949 1.00003626
12/14/2020 0.1936 0.7641 0.1964 0.2187 49 63 0.000005288600 1.00003598
12/13/2020 0.1916 0.7657 0.1974 0.2215 48 63 0.000005235557 1.00002906
12/12/2020 0.1916 0.7674 0.1994 0.2244 49 64 0.000005235557 1.00003223
12/11/2020 0.1916 0.7691 0.2015 0.2269 50 65 0.000005235676 1.00003539
12/10/2020 0.1900 0.7707 0.2036 0.2288 50 65 0.000005190277 1.00003951
12/09/2020 0.2073 0.7724 0.2044 0.2307 55 71 0.000005663922 1.00004267
12/08/2020 0.2091 0.7741 0.2034 0.2316 54 72 0.000005712545 1.00004130
12/07/2020 0.2003 0.7757 0.2028 0.2320 52 69 0.000005472510 1.00003782
12/06/2020 0.2061 0.7774 0.2041 0.2327 54 72 0.000005631434 1.00003210
12/05/2020 0.2061 0.7791 0.2049 0.2332 55 73 0.000005631434 1.00003546
12/04/2020 0.2061 0.7808 0.2057 0.2335 56 74 0.000005631832 1.00003882
12/03/2020 0.1960 0.7825 0.2065 0.2339 53 71 0.000005355866 1.00004260
12/02/2020 0.1997 0.7842 0.2106 0.2345 55 72 0.000005456145 1.00004298
12/01/2020 0.2050 0.7860 0.2141 0.2352 56 74 0.000005601782 1.00004334
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ENHANCED CASH
December 2020

Date Daily Yield (%) YTD Yield (%) 7-Day Yield (%) 30-Day Yield (%) enhanced-cashWAM Days to Reset enhanced-cashWAM Days to Final Daily Dividend Net Asset Value (NAV)
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