FEDERATED NEW JERSEY MUNICIPAL CASH TRUST
|
|
|
- Allan Walker
- 9 years ago
- Views:
Transcription
1 FEDERATED NEW JERSEY MUNICIPAL CASH TRUST Portfolio as of July 29, 2011 Current Net Assets -- $ 292,546,401 Weighted Average : 47 Days Weighted Average Life: 47 Days Principal Amount MUNICIPALS % New Jersey % $ 2,000,000 Belmar, NJ, BANs, 2.000% KU1 $ 2,007,264 4/27/2012 4/27/2012 Other Municipal Debt $ 11,000,000 (4)(5) BlackRock MuniYield New Jersey Fund, Inc., (1,022 Series W-7) Weekly VRDPs,(GTD by Citibank NA, New 09254Y505 $ 11,000,000 8/5/2011 5/1/2041 Variable Rate Demand Note York), 0.250% $ 2,439,805 Boonton, NJ, BANs, 1.500% JS9 $ 2,444,331 11/23/ /23/2011 Other Municipal Debt $ 9,930,000 Camden County, NJ Improvement Authority (Harvest Village), (Series 1999A) Daily VRDNs,(JPMorgan Chase 13281NDK5 $ 9,930,000 8/1/2011 7/1/2029 Variable Rate Demand Note Bank, N.A. LOC), 0.250% $ 3,000,000 Cape May, NJ, BANs, 1.500% LW2 $ 3,023,039 7/20/2012 7/20/2012 Other Municipal Debt $ 3,000,000 Cedar Grove Township, NJ, BANs, 2.000% ER6 $ 3,012,469 2/22/2012 2/22/2012 Other Municipal Debt $ 1,553,800 Chester Township, NJ, BANs, 1.750% DZ3 $ 1,559,457 2/24/2012 2/24/2012 Other Municipal Debt $ 2,718,550 Colts Neck Township, NJ, (Series 2010A), BANs, 1.500% CM5 $ 2,719,437 8/17/2011 8/17/2011 Other Municipal Debt $ 3,000,000 Cranford Township, NJ, BANs, 1.500% JD6 $ 3,009,842 2/3/2012 2/3/2012 Other Municipal Debt $ 3,146,000 Edgewater, NJ, BANs, 1.500% HH6 $ 3,146,658 8/12/2011 8/12/2011 Other Municipal Debt $ 4,573,850 Elmwood Park, NJ, BANs, 1.500% HE2 $ 4,574,806 8/12/2011 8/12/2011 Other Municipal Debt $ 5,300,000 (4)(5) Garden State Preservation Trust, NJ, Spears (Series DBE-328) Weekly VRDNs,(Deutsche Bank AG LIQ)/(GTD 25154CUN2 $ 5,300,000 8/5/ /1/2028 Variable Rate Demand Note by Deutsche Bank AG), 0.080% $ 3,000,000 Haddonfield, NJ, BANs, 1.000% FB2 $ 3,008,873 3/30/2012 3/30/2012 Other Municipal Debt $ 1,634,431 Hillsborough Township, NJ, BANs, 1.500% EZ0 $ 1,636,731 12/9/ /9/2011 Other Municipal Debt $ 3,000,000 Lacey Township, NJ, BANs, 1.750% 50547RBP9 $ 3,017,185 7/20/2012 7/20/2012 Other Municipal Debt $ 5,000,000 Lodi, NJ, BANs, 1.750% KU5 $ 5,011,151 1/13/2012 1/13/2012 Other Municipal Debt $ 2,995,000 Middle Township, NJ, BANs, 1.280% FH6 $ 2,995,000 12/16/ /16/2011 Other Municipal Debt $ 2,227,751 Millstone Township, NJ, BANs, 1.500% AL6 $ 2,229,501 9/28/2011 9/28/2011 Other Municipal Debt $ 4,269,000 Monmouth Beach, NJ, BANs, 1.500% BU0 $ 4,274,343 10/21/ /21/2011 Other Municipal Debt $ 3,000,000 Montclair Township, NJ, BANs, 1.500% Q61 $ 3,005,526 12/15/ /15/2011 Other Municipal Debt $ 3,000,000 Montville Township, NJ, BANs, 1.500% KC9 $ 3,008,290 4/13/2012 4/13/2012 Other Municipal Debt $ 3,010,000 New Jersey EDA (Baptist Home Society of New Jersey) Weekly VRDNs,(Valley National Bank, Passaic, NJ TY3 $ 3,010,000 8/5/2011 3/1/2031 Variable Rate Demand Note LOC), 0.350% $ 95,000 New Jersey EDA (Danlin Corp.), (Series 1992D-1) Weekly VRDNs,(BNP Paribas SA LOC), 0.330% 64577MNG1 $ 95,000 8/4/2011 6/1/2012 Variable Rate Demand Note $ 1,000,000 New Jersey EDA (Phoenix Realty Partners), (Series 1997) Weekly VRDNs,(Wells Fargo Bank, N.A. LOC), 0.150% 64577M7Q7 $ 1,000,000 8/5/ /1/2013 Variable Rate Demand Note NJMCT - 1
2 $ 6,465,000 New Jersey EDA (Republic Services, Inc.), (Series 2001) Weekly VRDNs,(Bank of America N.A. LOC), 0.200% 64577HLN9 $ 6,465,000 8/5/2011 9/1/2013 Variable Rate Demand Note $ 5,220,000 New Jersey EDA (Rose Hill Associates LLC), (Series 2000) Daily VRDNs,(TD Bank, N.A. LOC), 0.260% FJ1 $ 5,220,000 8/5/2011 9/1/2025 Variable Rate Demand Note $ 12,350,000 New Jersey EDA (Services for Children with Hidden Intelligence, Inc.) Weekly VRDNs,(Fulton Bank LOC), 64577HQR5 $ 12,350,000 8/5/2011 1/1/2033 Variable Rate Demand Note 1.400% $ 6,355,000 New Jersey EDA (Stamato Realty LLC), Series 2001 Weekly VRDNs,(Comerica Bank LOC), 0.270% 64577HLL3 $ 6,355,000 8/5/2011 8/1/2021 Variable Rate Demand Note $ 1,500,000 New Jersey EDA (Temple Emanuel of the Pascack Valley), (Series 2001) Weekly VRDNs,(PNC Bank, N.A. LOC), 0.330% $ 14,400,000 New Jersey EDA (Thermal Energy I LP), (Series 1997) Weekly VRDNs,(JPMorgan Chase Bank, N.A. LOC), 0.080% $ 2,120,000 New Jersey EDA (Village School for Children, Inc.), (Series 2001) Weekly VRDNs,(Valley National Bank, Passaic, NJ LOC), 0.180% $ 6,080,000 New Jersey Health Care Facilities Financing Authority (Christian Health Care Center), (Series A-2) Weekly VRDNs,(Valley National Bank, Passaic, NJ LOC), 0.190% $ 7,820,000 (4)(5) New Jersey Health Care Facilities Financing Authority (Hackensack University Medical Center), Rocs (Series 11626) Weekly VRDNs,(Citibank NA, New York LIQ)/(INS by Assured Guaranty Municipal Corp.), 0.280% $ 5,975,000 New Jersey Health Care Facilities Financing Authority (Meridian Health System Obligated Group), (Series 2007-III) Weekly VRDNs,(Bank of America N.A. LIQ)/(INS by Assured Guaranty Corp.), 0.110% $ 1,000,000 New Jersey Health Care Facilities Financing Authority (Princeton Healthcare System), (Series 2010A) Weekly VRDNs,(Bank of America N.A. LOC), 0.100% $ 15,000,000 (4)(5) New Jersey Higher Education Assistance Authority, RBC Muni Trust (Series 2008-L35) Weekly VRDNs,(Royal Bank of Canada, Montreal LIQ)/(Royal Bank of Canada, Montreal LOC), 0.110% $ 13,995,000 (4)(5) New Jersey Higher Education Assistance Authority, RBC Muni Trust (Series 2008-L36) Weekly VRDNs,(Royal Bank of Canada, Montreal LIQ)/(Royal Bank of Canada, Montreal LOC), 0.110% $ 11,325,000 (4)(5) New Jersey State Housing and Mortgage Finance Agency, Eagles (Series ) Weekly VRDNs,(Citibank NA, New York LIQ)/(INS by Assured Guaranty Municipal Corp.), 0.230% PF8 $ 1,500,000 8/5/ /1/2021 Variable Rate Demand Note AB8 $ 14,400,000 8/5/ /1/2031 Variable Rate Demand Note 64577HLU3 $ 2,120,000 8/5/ /1/2021 Variable Rate Demand Note 64579FGX5 $ 6,080,000 8/5/2011 7/1/2035 Variable Rate Demand Note 64579FXG3 $ 7,820,000 8/5/2011 7/1/2030 Variable Rate Demand Note 64579FWM1 $ 5,975,000 8/5/2011 7/1/2038 Variable Rate Demand Note 64579FB93 $ 1,000,000 8/5/2011 7/1/2041 Variable Rate Demand Note 74926YKN0 $ 15,000,000 8/5/ /1/2031 Variable Rate Demand Note 74926YKQ3 $ 13,995,000 8/5/ /1/2032 Variable Rate Demand Note DS6 $ 11,325,000 8/5/2011 5/1/2014 Variable Rate Demand Note $ 15,500,000 (4)(5) New Jersey State Transportation Trust Fund Authority, Spears (Series DB-297) Weekly VRDNs,(Deutsche 25154CNQ3 $ 15,500,000 8/5/ /15/2031 Variable Rate Demand Note Bank AG LIQ)/(GTD by Deutsche Bank AG), 0.080% $ 14,300,000 New Jersey Turnpike Authority, (Series 2003C-2) Weekly VRDNs,(Dexia Credit Local LIQ)/(INS by Assured WC5 $ 14,300,000 8/5/2011 1/1/2024 Variable Rate Demand Note Guaranty Municipal Corp.), 2.500% $ 15,000,000 (4)(5) Nuveen New Jersey Investment Quality Municipal Fund, Inc., [Series 1] Weekly VRDPs,(GTD by Citibank NA, $ 15,000,000 8/5/2011 8/1/2040 Variable Rate Demand Note New York), 0.250% $ 5,840,000 (4)(5) Port Authority of New York and New Jersey, P-Floats (Series PT-3560) Weekly VRDNs,(Dexia Credit Local 73358TVK4 $ 5,840,000 8/5/ /1/2016 Variable Rate Demand Note LIQ)/(Dexia Credit Local LOC), 2.400% $ 4,890,000 River Vale, NJ, BANs, 1.000% FV0 $ 4,890,462 8/15/2011 8/15/2011 Other Municipal Debt $ 2,121,369 Sea Girt, NJ, BANs, 2.000% DP3 $ 2,130,471 5/17/2012 5/17/2012 Other Municipal Debt $ 14,515,000 (4)(5) Tobacco Settlement Financing Corp., NJ, Putters (Series 1734B) Daily VRDNs,(J.P. Morgan Chase & Co FF4 $ 14,515,000 8/1/ /1/2012 Variable Rate Demand Note LIQ)/(United States Treasury PRF), 0.210% $ 2,618,500 Waldwick, NJ, BANs, 2.000% DZ8 $ 2,629,624 3/30/2012 3/30/2012 Other Municipal Debt $ 5,000,000 Wall Township, NJ, BANs, 2.000% FV7 $ 5,023,449 6/13/2012 6/13/2012 Other Municipal Debt $ 2,750,000 West Caldwell Township, NJ, BANs, 2.000% BK4 $ 2,764,846 4/24/2012 4/24/2012 Other Municipal Debt TOTAL $ 276,217,756 NJMCT - 2
3 New York - 3.1% $ 2,640,000 Port Authority of New York and New Jersey, Equipment Note Agreement (Series ) Weekly VRDNs, 73358TWR8 $ 2,640,000 8/5/ /16/2013 Variable Rate Demand Note 0.130% $ 1,020,000 Port Authority of New York and New Jersey, Equipment Note Agreement (Series ) Weekly VRDNs, 73358TWS6 $ 1,020,000 8/5/ /16/2012 Variable Rate Demand Note 0.210% $ 2,000,000 (4)(5) Port Authority of New York and New Jersey, Putters (Series 2912Z) Weekly VRDNs,(INS by Assured Guaranty 73358T2Z3 $ 2,000,000 8/5/2011 1/15/2013 Variable Rate Demand Note Municipal Corp.)/(JPMorgan Chase Bank, N.A. LIQ), 0.200% $ 3,470,000 (4)(5) Port Authority of New York and New Jersey, Solar Eclipse (Series ) Weekly VRDNs,(U.S. Bank, N.A FBQ2 $ 3,470,000 8/5/ /1/2026 Variable Rate Demand Note LIQ)/(U.S. Bank, N.A. LOC), 0.070% TOTAL $ 9,130,000 Puerto Rico - 2.3% $ 6,625,000 (4)(5) Puerto Rico Sales Tax Financing Corp., Spears (Series DB-344) Weekly VRDNs,(Deutsche Bank AG LIQ)/(GTD 25154CXT6 $ 6,625,000 8/5/2011 8/1/2047 Variable Rate Demand Note by Deutsche Bank AG), 0.080% TOTAL $ 6,625,000 TOTAL MUNICIPALS $ 291,972,756 TOTAL INVESTMENTS $ 291,972,756 Includes the name of issuer and coupon or yield of the security. (2) date as determined under Rule 2a-7(d) for purposes of calculating the portfolio's Weighted Average (3) The date on which the fund has an unconditional right to payment of the full principal amount of and any remaining interest on the security. (4) Denotes a restricted security that either: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933; or (b) is subject to a contractual restriction on public sales. At July 29,2011, these restricted securities amounted to $127,390,000, which represented 43.5% of total net assets. (5) Denotes a restricted security that may be resold without restriction to qualified institutional buyers as defined in Rule 144A under the Securities Act of 1933 and that the Fund has determined to be liquid under criteria established by the Fund's Board of Trustees. At July 29,2011, these liquid restricted securities amounted to $127,390,000, which represented 43.5% of total net assets. The categories of investments are shown as a percentage of net assets ($292,546,401) at the close of business on July 29,2011, and may not necessarily reflect adjustments that are routinely made when presenting net assets for formal financial statement purposes. Where appropriate, the following acronyms may be used throughout this portfolio: AMT --Alternative Minimum Tax BAN --Bond Anticipation Note COL --Collateralized COP --Certificate of Participation CP --Commercial Paper CSD --Central School District EDA --Economic Development Authority EDC --Economic Development Commission NJMCT - 3
4 EDFA --Economic Development Financing Authority EDR --Economic Development Revenue EDRB --Economic Development Revenue Bond FHLB --Federal Home Loan Bank FHLMC --Federal Home Loan Mortgage Corporation FNMA --Federal National Mortgage Association GNMA --Government National Mortgage Association GO --General Obligation GTD --Guaranteed HEFA --Health and Education Facilities Authority HFA --Housing Finance Authority HFDC --Health Facility Development Corporation IDA --Industrial Development Authority IDB --Industrial Development Bond IDC --Industrial Development Corporation IDFA --Industrial Development Finance Authority IDR --Industrial Development Revenue IDRB --Industrial Development Revenue Bond INS --Insured INV --Investment Agreement ISD --Independent School District LIQ --Liquidity Agreement LLC --Limited Liability Corporation LOC --Letter of Credit LP --Limited Partnership LT --Limited Tax MERLOTS --Municipal Exempt Receipts-Liquidity Optional Tender Series MFH --Multi-Family Housing MMM --Money Market Municipal PCFA --Pollution Control Finance Authority PCR --Pollution Control Revenue PRF --Prerefunded PUTTER --Puttable Tax-Exempt Receipt ROC --Reset Option Certificate SFM --Single Family Mortgage SPEAR --Short Puttable Exempt Adjustable Receipt TAN --Tax Anticipation Note TOB --Tender Option Bond TRAN --Tax and Revenue Anticipation Note UT --Unlimited Tax NJMCT - 4
5 VRDN --Variable Rate Demand Note VRDP --Variable Rate Demand Preferred VREN --Variable Rate Extended Note An investment in money market funds is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although money market funds seek to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in these funds. Portfolio holdings are shown as of the date indicated and are unaudited. Since market conditions fluctuate suddenly and frequently, the portfolio holdings may change and this list is not indicative of future portfolio composition. These portfolio holdings are not intended to be and do not constitute recommendations that others buy, sell, or hold any of the securities listed. For more complete information on the fund, visit FederatedInvestors.com for a prospectus or a summary prospectus, if available. You should consider the fund s investment objectives, risks, charges and expenses carefully before you invest. Information about these and other important subjects is in the fund s prospectus or summary prospectus, which you should read carefully before investing. NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE Federated Securities Corp., Distributor (32221) 07/29/2011 Federated is a registered mark of Federated Investors, Inc Federated Investors, Inc. NJMCT - 5
FEDERATED MASSACHUSETTS MUNICIPAL CASH TRUST
FEDERATED MASSACHUSETTS MUNICIPAL CASH TRUST Portfolio as of December 30, 2011 Current Net Assets -- $ 287,965,796 Weighted Average : 39 Days Weighted Average Life: 39 Days Principal Amount MUNICIPALS
Security Description CUSIP
FEDERATED CALIFORNIA MUNICIPAL CASH TRUST Portfolio as of July 15, 2015 Current Net Assets -- $ 633,196,632 Weighted Average : 44 Days Weighted Average Life: 44 Days Principal Amount MUNICIPALS - 99.5%
FEDERATED CALIFORNIA MUNICIPAL CASH TRUST
FEDERATED CALIFORNIA MUNICIPAL CASH TRUST Portfolio as of November 30, 2011 Current Net Assets -- $ 851,135,277 Weighted Average : 46 Days Weighted Average Life: 46 Days Principal Amount MUNICIPALS - 98.0%
FEDERATED CALIFORNIA M UNICIPAL CASH TRUST CMCT - 1. Portfolio as of October 30, 2015 Current Net Assets -- $ 779,518,570
FEDERATED CALIFORNIA M UNICIPAL CASH TRUST Portfolio as of October 30, 2015 Current Net Assets -- $ 779,518,570 Weighted Average M aturity: 38 Days Weighted Average Life: 38 Days Principal Amount MUNICIPALS
FEDERATED MUNICIPAL TRUST
FEDERATED MUNICIPAL TRUST Portfolio as of June 28, 2013 Current Net Assets -- $ 601,733,732 Weighted Average : 35 Days Weighted Average Life: 35 Days Principal Amount MUNICIPALS - 98.5% Arkansas - 2.3%
FEDERATED MUNICIPAL TRUST
FEDERATED MUNICIPAL TRUST Portfolio as of May 31, 2013 Current Net Assets -- $ 599,186,130 Weighted Average : 30 Days Weighted Average Life: 30 Days Principal Amount MUNICIPALS - 100.4% Arkansas - 2.3%
JPMorgan New York Municipal Money Market Fund Schedule of Portfolio Investments as of May 31, 2015 (Unaudited)
Schedule of Portfolio Investments as of May 31, 2015 (Unaudited) THE UNAUDITED CERTIFIED MUTUAL FUNDS HOLDINGS LIST ( the List ) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS NOT TO BE REPRODUCED FOR
Tax-Free Money Market Fund
March 31, 2015 Share Class Investment Service Ticker TFIXX TFSXX Tax-Free Money Market Fund A Portfolio of Money Market Obligations Trust Not FDIC Insured May Lose Value No Bank Guarantee CONTENTS Portfolio
Evergreen INSTITUTIONAL MONEY MARKET FUNDS. Prospectus July 1, 2009
Evergreen INSTITUTIONAL MONEY MARKET FUNDS Prospectus July 1, 2009 Evergreen Institutional 100% Treasury Money Market Fund Evergreen Institutional Money Market Fund Evergreen Institutional Municipal Money
Managing the Investment Portfolio
Managing the Investment Portfolio GSBC Executive Development Institute April 26, 2015 Portfolio Purpose & Objectives Tale of Two Balance Sheets o Components of Core Balance Sheet Originated loans Retail
FEDERATED MONEY MARKET MANAGEMENT MMM - 1. Portfolio as of January 29, 2016 Current Net Assets -- $ 7,039,271,867
FEDERATED MONEY MARKET MANAGEMENT Portfolio as of January 29, 2016 Current Net Assets -- $ 7,039,271,867 Weighted Average M aturity: 35 Days Weighted Average Life: 49 Days Credit Rating: AAAm STANDARD
City National Rochdale Municipal High Income Fund a series of City National Rochdale Funds
City National Rochdale Municipal High Income Fund a series of City National Rochdale Funds SUMMARY PROSPECTUS DATED JANUARY 31, 2016 Class: Servicing Class Class N Ticker: (CNRMX) (CNRNX) Before you invest,
FEDERATED TAX-FREE OBLIGATIONS FUND TFOF - 1. Portfolio as of December 15, 2015 Current Net Assets -- $ 6,825,503,232
FEDERATED TAX-FREE OBLIGATIONS FUND Portfolio as of December 15, 2015 Current Net Assets -- $ 6,825,503,232 Weighted Average : 42 Days Weighted Average Life: 41 Days Credit Rating: Aaa-mf MOODY'S AAAmmf
GOLDMAN SACHS VARIABLE INSURANCE TRUST
GOLDMAN SACHS VARIABLE INSURANCE TRUST Institutional and Service Shares of the Goldman Sachs Money Market Fund (the Fund ) Supplement dated July 29, 2015 to the Prospectuses and Summary Prospectuses, each
RBC Money Market Funds Prospectus
RBC Money Market Funds Prospectus November 25, 2015 Prime Money Market Fund RBC Institutional Class 1: RBC Institutional Class 2: RBC Select Class: RBC Reserve Class: RBC Investor Class: TPNXX TKIXX TKSXX
Wells Fargo Advantage Municipal Cash Management Money Market Fund Annual Report
Wells Fargo Advantage Municipal Cash Management Money Market Fund Annual Report January 31, 2015 Contents Reduce clutter. Save trees. Sign up for electronic delivery of prospectuses and shareholder reports
INVESCO CLOSED-END FUND MONTHLY INFORMATION
INVESCO CLOSED-END FUND MONTHLY INFORMATION Fund characteristics are subject to change daily. Provided for informational purposes only and should not be deemed as a recommendation to buy or sell the securities
FIXED INCOME. Consistent Revenue A WIDER VIEW TM
FIXED INCOME Consistent Revenue A WIDER VIEW TM It s time for A WIDER VIEW. TM It s the view that says stocks, bonds, mutual funds, annuities, life insurance, every type of investment has to make a contribution
SUMMARY PROSPECTUS. BlackRock Liquidity Funds Select Shares California Money Fund Select: BCBXX FEBRUARY 29, 2016
FEBRUARY 29, 2016 SUMMARY PROSPECTUS BlackRock Liquidity Funds Select Shares California Money Fund Select: BCBXX Before you invest, you may want to review the Fund s prospectus, which contains more information
Security Description CUSIP
EDWARD JONES TAX-FREE MONEY MARKET FUND* * The Investment Shares of the Tax-Free Money Market Fund offered through Edward D. Jones & Co. L.P. ("Edward Jones") are doing business as Edward Jones Tax-Free
Wells Fargo Advantage Funds announces updates to its money market fund lineup
May 21, 2015 Wells Fargo Advantage Funds announces updates to its money market fund lineup Wells Fargo Advantage Funds today announced that its Board of Trustees preliminarily approved the changes to its
AZL MONEY MARKET FUND
AZL MONEY MARKET FUND *,1,2 Unaudited AZL Money Market Fund Holdings as-of 1/31/2016 3 Weighted Average (WAM) 43 Days 4 Weighted Average Life (WAL) 90 Days Issuer Name Category CUSIP ABN AMRO FUNDING USA
A Guide to Investing in Floating-rate Securities
A Guide to Investing in Floating-rate Securities What to know before you buy Are floating rate bonds suitable for you? The features, risks and characteristics of floating rate bonds are different from
Financial Instruments. Chapter 2
Financial Instruments Chapter 2 Major Types of Securities debt money market instruments bonds common stock preferred stock derivative securities 1-2 Markets and Instruments Money Market debt instruments
Wells Fargo/BlackRock Short Term Investment Fund COLLECTIVE FUND DISCLOSURE
Wells Fargo/BlackRock Short Term Investment Fund COLLECTIVE FUND DISCLOSURE Wells Fargo/BlackRock Short Term Investment Fund This disclosure summarizes information about the Short Term Investment Fund
BBIF Government Securities Fund BBIF Tax-Exempt Fund. Shareholders should retain this Supplement for future reference.
BBIF Government Securities Fund BBIF Tax-Exempt Fund Supplement dated April 22, 2016 to the Prospectus, Summary Prospectuses and Statement of Additional Information of the Funds, dated January 4, 2016
Security Description CUSIP
FEDERATED TAX-FREE OBLIGATIONS FUND Portfolio as of September 15, 2015 Current Net Assets -- $ 6,344,271,240 Weighted Average : 42 Days Weighted Average Life: 42 Days Credit Rating: Aaa-mf MOODY'S AAAmmf
UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund
Money Market Funds Prospectus UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund Prospectus August 28, 2015 Ticker symbols:
ALPINE HIGH YIELD MANAGED DURATION MUNICIPAL FUND, A SERIES OF ALPINE INCOME TRUST
ALPINE HIGH YIELD MANAGED DURATION MUNICIPAL FUND, A SERIES OF ALPINE INCOME TRUST SUPPLEMENT DATED APRIL 4, 2016 TO THE SUMMARY PROSPECTUS DATED FEBRUARY 29, 2016 The following replaces the fee table
UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund
Money Market Funds Prospectus and SAI Supplement UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund Supplement to the Prospectus
NORTHERN MONEY MARKET FUNDS
NORTHERN MONEY MARKET FUNDS ANNUAL REPORT MARCH 31, 2015 A MESSAGE FROM BOB BROWNE CHIEF INVESTMENT OFFICER Despite the low absolute level of yields for U.S. Treasuries, the domestic bond market generated
SPDR Nuveen S&P High Yield Municipal Bond ETF
SPDR Nuveen S&P High Yield Municipal Bond ETF Summary Prospectus-October 31, 2015 HYMB (NYSE Ticker) Before you invest in the SPDR Nuveen S&P High Yield Municipal Bond ETF (the Fund ), you may want to
Highlands Ranch Metropolitan District. Investment Policy
Highlands Ranch Metropolitan District Investment Policy Highlands Ranch Metropolitan District ( the District ) is a governmental subdivision of the State of Colorado and a body corporate with those powers
BOND FUNDS L SHARES. October 1, 2004
BOND FUNDS A SHARES L SHARES October 1, 2004 CLASSIC INSTITUTIONAL U.S. GOVERNMENT SECURITIES SUPER SHORT INCOME PLUS FUND FLORIDA TAX-EXEMPT BOND FUND GEORGIA TAX-EXEMPT BOND FUND HIGH INCOME FUND INVESTMENT
Investment Policy Statement
Investment Policy Statement Table of Contents Section Page 1. Purpose...1 2. Scope...1 3. Objectives...1 4. Standards of Care...2 5. Authorized Investments...3 6. Investment Parameters...7 7. Safekeeping
Daily Income Fund Retail Class Shares ( Retail Shares )
Daily Income Fund Retail Class Shares ( Retail Shares ) Money Market Portfolio Ticker Symbol: DRTXX U.S. Treasury Portfolio No Ticker Symbol U.S. Government Portfolio Ticker Symbol: DREXX Municipal Portfolio
Bonds, in the most generic sense, are issued with three essential components.
Page 1 of 5 Bond Basics Often considered to be one of the most conservative of all investments, bonds actually provide benefits to both conservative and more aggressive investors alike. The variety of
Investment Property Mortgages - A Guide to Investing
March 31, 2015 Annual Report to Shareholders Deutsche Massachusetts Tax Free Fund (formerly DWS Massachusetts Tax Free Fund) Deutsche Massachusetts Tax Free Fund 1 Contents 3 Letter to Shareholders 4 Portfolio
US TREASURY SECURITIES - Issued by the U.S. Treasury Department and guaranteed by the full faith and credit of the United States Government.
Member NASD/SIPC Bond Basics TYPES OF ISSUERS There are essentially five entities that issue bonds: US TREASURY SECURITIES - Issued by the U.S. Treasury Department and guaranteed by the full faith and
Russell Funds Russell Tax Exempt Bond Fund Money Manager and Russell Overview September 2015
Money Manager and Russell Overview September 2015 Russell s investment approach Russell uses a multi-asset approach to investing, combining asset allocation, manager selection and ongoing portfolio management
Federated Municipal Obligations Fund
Summary Prospectus June 2, 2015 Share Class Cash Series Ticker MFSXX Federated Municipal Obligations Fund A Portfolio of Money Market Obligations Trust Before you invest, you may want to review the Fund
ALPINE MUNICIPAL MONEY MARKET FUND A SERIES OF THE ALPINE INCOME TRUST
ALPINE MUNICIPAL MONEY MARKET FUND A SERIES OF THE ALPINE INCOME TRUST SUPPLEMENT DATED MARCH 19, 2015 TO THE SUMMARY PROSPECTUS, PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION DATED FEBRUARY 27, 2015
General Money Market Funds
General Money Market Funds Prospectus April 1, 2014 Class A General Money Market Fund, Inc. (GMMXX) General Government Securities Money Market Fund (GGSXX) General Treasury Prime Money Market Fund (GTAXX)
Daily Income Fund Retail Class Shares ( Retail Shares )
Daily Income Fund Retail Class Shares ( Retail Shares ) Money Market Portfolio Ticker Symbol: DRTXX U.S. Treasury Portfolio No Ticker Symbol U.S. Government Portfolio Ticker Symbol: DREXX Municipal Portfolio
UNDERSTANDING INVESTMENT BASICS
UNDERSTANDING INVESTMENT BASICS Today s Presentation Purpose Objectives Topics O.R.C. 135.35 Due Diligence CDs Bonds Strategy INVESTMENT POLICY County Inactive Moneys - O.R.C. 135.35 Permissible Activities/Investments
Federated New York Municipal Income Fund
Summary Prospectus October 31, 2015 Share Class A B Ticker NYIFX NYIBX Federated New York Municipal Income Fund A Portfolio of Federated Municipal Securities Income Trust Before you invest, you may want
Important Information about Investing in Bonds
Robert W. Baird & Co. Incorporated Important Information about Investing in Bonds Baird has prepared this document to help you understand the characteristics and risks associated with bonds and other fixed
Brown Advisory Strategic Bond Fund Class/Ticker: Institutional Shares / (Not Available for Sale)
Summary Prospectus October 30, 2015 Brown Advisory Strategic Bond Fund Class/Ticker: Institutional Shares / (Not Available for Sale) Before you invest, you may want to review the Fund s Prospectus, which
GOLDMAN SACHS TRUST GOLDMAN SACHS VARIABLE INSURANCE TRUST
GOLDMAN SACHS TRUST GOLDMAN SACHS VARIABLE INSURANCE TRUST Goldman Sachs Financial Square Funds Goldman Sachs Financial Square Prime Obligations Fund Goldman Sachs Financial Square Money Market Fund Goldman
20. Investments 4: Bond Basics
20. Investments 4: Bond Basics Introduction The purpose of an investment portfolio is to help individuals and families meet their financial goals. These goals differ from person to person and change over
Municipal Bonds: A Unique Market
Redstone Advisors Municipal Bonds: A Unique Market Common Myths about the Muni Market Myth #1: When I buy or sell bonds, there are no transaction costs Answer: Be careful you don t get stepped on (316)
CITIZENS PROPERTY INSURANCE CORPORATION. INVESTMENT POLICY for. Claims Paying Fund (Taxable)
CITIZENS PROPERTY INSURANCE CORPORATION INVESTMENT POLICY for Claims Paying Fund (Taxable) INTRODUCTION Citizens is a government entity whose purpose is to provide property and casualty insurance for those
Of the. Are there any other cities in New York State that impose an income tax?
New York Tax Report 2015 Edition New York Personal Income Tax Although managing your portfolio is primarily an investment decision, tax considerations should also be taken into account. Accordingly, Morgan
Chapter 10. Fixed Income Markets. Fixed-Income Securities
Chapter 10 Fixed-Income Securities Bond: Tradable security that promises to make a pre-specified series of payments over time. Straight bond makes fixed coupon and principal payment. Bonds are traded mainly
Vanguard Money Market Funds Prospectus
Vanguard Money Market Funds Prospectus December 14, 2015 Investor Shares Vanguard Prime Money Market Fund Investor Shares (VMMXX) Vanguard Federal Money Market Fund Investor Shares (VMFXX) Vanguard Treasury
How To Divide Life Insurance Assets Into Two Accounts
2ASSETS Assets held by life insurers back the companies life, annuity, and health liabilities. Accumulating these assets via the collection of premiums from policyholders and earnings on investments provides
Lord Abbett High Yield Municipal Bond Fund
SUMMARY PROSPECTUS Lord Abbett High Yield Municipal Bond Fund FEBRUARY 1, 2016 CLASS/TICKER CLASS A... HYMAX CLASS C... HYMCX CLASS I... HYMIX CLASS B... HYMBX CLASS F... HYMFX CLASS P... HYMPX Before
The Fund s investment objective is to seek to provide a level of current income consistent with limited price volatility.
SUMMARY PROSPECTUS June 30, 2016 DoubleLine Ultra Short Bond Fund DoubleLine F U N D S Share Class (Ticker): Class I (DBULX) Class N (DLUSX) Before you invest, you may wish to review the Fund s Prospectus,
J.P. MORGAN SPECIALTY FUNDS. JPMorgan U.S. Real Estate Fund (All Share Classes) (a series of JPMorgan Trust II)
J.P. MORGAN SPECIALTY FUNDS JPMorgan U.S. Real Estate Fund (All Share Classes) (a series of JPMorgan Trust II) Supplement dated November 12, 2013 to the Prospectus and Summary Prospectus dated May 1, 2013,
Russell Funds Russell Tax Exempt High Yield Bond Fund Money Manager and Russell Overview November 2015
Russell Tax Exempt High Yield Bond Fund Money Manager and Russell Overview November 2015 Russell s investment approach Russell uses a multi-asset approach to investing, combining asset allocation, manager
Louisiana Optional Retirement Plan Louisiana Optional Retirement Plan
TIAA-CREF Quarterly Performance Louisiana Optional Retirement Plan Louisiana Optional Retirement Plan Performance as of 03/31/2016 Before making your investment choices and completing your enrollment form,
Nuveen Intelligent Risk Conservative Allocation Fund will be liquidated after the close of business on June 24, 2016.
NUVEEN INTELLIGENT RISK CONSERVATIVE ALLOCATION FUND SUPPLEMENT DATED APRIL 18, 2016 TO THE SUMMARY PROSPECTUS DATED DECEMBER 31, 2015 Nuveen Intelligent Risk Conservative Allocation Fund will be liquidated
Class / Ticker Symbol Fund Name Class A Class C Class C1 Class I
Mutual Funds Prospectus August 31, 2011 Nuveen Municipal Bond Funds Dependable, tax-free income because it s not what you earn, it s what you keep. Class / Ticker Symbol Fund Name Class A Class C Class
Institutional Money Market Fund
Institutional Money Market Fund July 29, 2015 Prospectus Enclosed Institutional Money Market Fund Prospectus July 29, 2015 As with other mutual funds, the Securities and Exchange Commission has not approved
Chapter 3 - Selecting Investments in a Global Market
Chapter 3 - Selecting Investments in a Global Market Questions to be answered: Why should investors have a global perspective regarding their investments? What has happened to the relative size of U.S.
Fixed Income Investing
Fixed Income Investing Why Invest in Fixed Income Fixed income securities (bonds) are a fundamental part of an investing plan for most investors. There are many types of bonds along with varied approaches
Module A Introduction to Tax-Exempt Bonds Overview
Module A Introduction to Tax-Exempt Bonds Overview Introduction This module provides an introduction to the municipal (tax-exempt) bond market. It is divided into five sections. Fundamentals The basic
TIAA-CREF Individual & Institutional Services, LLC (A wholly-owned subsidiary of Teachers Insurance and Annuity Association of America) Statement of
TIAA-CREF Individual & Institutional Services, LLC (A wholly-owned subsidiary of Teachers Insurance and Annuity Association of America) Statement of Financial Condition (Unaudited) Index Page(s) Financial
A GUIDE TO MUTUAL FUND INVESTING
Many investors turn to mutual funds to meet their long-term financial goals. They offer the benefits of diversification and professional management and are seen as an easy and efficient way to invest.
Understanding your cash sweep options
M914471105 Understanding your cash sweep options The following information is being provided so that you can review your cash sweep option(s) with your Merrill Lynch financial advisor ( financial advisor
CHAPTER 2. Asset Classes. the Money Market. Money market instruments. Capital market instruments. Asset Classes and Financial Instruments
2-2 Asset Classes Money market instruments CHAPTER 2 Capital market instruments Asset Classes and Financial Instruments Bonds Equity Securities Derivative Securities The Money Market 2-3 Table 2.1 Major
Seix Total Return Bond Fund
Summary Prospectus Seix Total Return Bond Fund AUGUST 1, 2015 (AS REVISED FEBRUARY 1, 2016) Class / Ticker Symbol A / CBPSX R / SCBLX I / SAMFX IS / SAMZX Before you invest, you may want to review the
Managing cash in your portfolio
Managing cash in your portfolio Vanguard research October 2012 Executive summary. Investors may maintain cash in their portfolios for a number of reasons, such as to cover daily living expenses and in
How To Get A Medical Center Bond From The Catholic Health Authority
2010 Financings Shore Memorial Hospital Series 2010 - $15,000,000 Shore Memorial Hospital, located in Somers Point, New Jersey, is a not-for-profit, 296 licensed bed facility with 1,600 employees and more
Optional Asset Allocation program for participants
Richard Gagne Retirement Security Education 0207662 What is GoalMaker? Optional Asset Allocation program for participants Uses professional asset allocation modeling based on portfolios created by Morningstar
Fixed Income Investments. Private Banking USA
Fixed Income Investments Credit Suisse Securities (USA) llc Private Banking USA 2 Preservation of your wealth is our first priority. Introduction Fixed Income Investing Today In the last two decades, investors
J.P. Morgan Money Market Funds STATEMENT OF ADDITIONAL INFORMATION PART I. July 1, 2015 JPMORGAN TRUST I ( JPMT I )
J.P. Morgan Money Market Funds STATEMENT OF ADDITIONAL INFORMATION PART I July 1, 2015 JPMORGAN TRUST I ( JPMT I ) JPMorgan 100% U.S. Treasury Securities Money Market JPMorgan California Municipal Money
401(k) Savings Plan Investment Fund Profiles Detailed Information on the JPMorgan Chase 401(k) Savings Plan Investment Funds
401(k) Savings Plan Investment Fund Profiles Detailed Information on the JPMorgan Chase 401(k) Savings Plan Investment Funds Effective December 31, 2013 Please Note: Any significant subsequent updates
