摩根士丹利基金管理(中国)有限公司 |
We have become aware of a number of recent investment scams targeted at members of the public. These scams may involve criminals impersonating employees of legitimate banks and other financial institutions and offering fraudulent investment opportunities. Along with other financial institutions, Morgan Stanley’s name has been used by such criminals to perpetrate some of this fraudulent activity.
Morgan Stanley Investment Management have taken a number of steps to respond to this activity, but we need your help. We strongly recommend that all members of the public act with extra vigilance. In particular, it is critically important to take the necessary steps to verify the identity of any unknown individual claiming to represent a financial institution, including Morgan Stanley or any of our affiliates.
General tips to identify and avoid such scams can be found on the FCA ScamSmart website. It is always advisable to obtain the quoted company’s switchboard telephone number through directory enquiries and attempt to contact the Investment Manager directly. Do not use the telephone numbers or any email addresses that you are given on letters or other documents provided by the person who has contacted you.
Any suspected fraud should also be reported to ActionFraud - the UK’s national fraud and cybercrime reporting centre.
We have become aware of a number of recent investment scams targeted at members of the public. These scams may involve criminals impersonating employees of legitimate banks and other financial institutions and offering fraudulent investment opportunities. Along with other financial institutions, Morgan Stanley’s name has been used by such criminals to perpetrate some of this fraudulent activity.
Morgan Stanley Investment Management have taken a number of steps to respond to this activity, but we need your help. We strongly recommend that all members of the public act with extra vigilance. In particular, it is critically important to take the necessary steps to verify the identity of any unknown individual claiming to represent a financial institution, including Morgan Stanley or any of our affiliates.
General tips to identify and avoid such scams can be found on the FCA ScamSmart website. It is always advisable to obtain the quoted company’s switchboard telephone number through directory enquiries and attempt to contact the Investment Manager directly. Do not use the telephone numbers or any email addresses that you are given on letters or other documents provided by the person who has contacted you.
Any suspected fraud should also be reported to ActionFraud - the UK’s national fraud and cybercrime reporting centre or local law enforcement if outside the UK.
We offer USD, GBP and EUR institutional money market funds and short duration funds to meet your cash management needs.
We offer custom solutions as well as a turnkey Prime Liquidity Portfolio, which allows our clients the ability to navigate the evolving cash management investment landscape.
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected. Week-end figures Week-end figures. The maturity distribution reflects the final maturity date except for floating rate securities for which the next reset date is reflected.
Daily/Weekly Liquid Assets
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Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875334764 Sterling Liquidity FundLVNAV
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1.00 GBP | 6.8 GBP (Bn) | 5.4 GBP (Bn) | 15-Nov-2024 | 4.74 | 4.77 | 4.86 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875333444 Euro Liquidity FundLVNAV
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1.00 EUR | 18.2 EUR (Bn) | 7.6 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332040 US Dollar Liquidity FundLVNAV
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1.00 USD | 46.1 USD (Bn) | 33.6 USD (Bn) | 15-Nov-2024 | 4.70 | 4.71 | 4.81 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875336629 US Dollar Treasury Liquidity FundPDCNAV
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1.00 USD | 16.2 USD (Bn) | 11.3 USD (Bn) | 15-Nov-2024 | 4.47 | 4.48 | 4.59 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1954527922 US Dollar Ultra Short Income FundVNAV
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9.980 USD | 341.40 USD (MM) | 40.36 USD (MM) | 15-Nov-2024 | 5.01 | 5.02 | 5.11 | 15-Nov-2024 | 89 | 98 | 15-Nov-2024 | 12.94 | 31.01 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU2816797752 Euro Government Liquidity FundPDCNAV
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1.00 EUR | 163.40 EUR (MM) | 82.53 EUR (MM) | 15-Nov-2024 | 3.01 | 3.01 | 3.09 | 14-Nov-2024 | 31 | 31 | 14-Nov-2024 | 68.07 | 71.74 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875335498 Sterling Liquidity FundLVNAV
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128.073667 GBP | 6.8 GBP (Bn) | 50.33 GBP (MM) | 15-Nov-2024 | 4.74 | 4.77 | 4.86 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875334178 Euro Liquidity FundLVNAV
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113.075500 EUR | 18.2 EUR (Bn) | 2.1 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332800 US Dollar Liquidity FundLVNAV
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127.530960 USD | 46.1 USD (Bn) | 519.88 USD (MM) | 15-Nov-2024 | 4.70 | 4.71 | 4.81 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875337437 US Dollar Treasury Liquidity FundPDCNAV
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101.967453 USD | 16.2 USD (Bn) | 4.82 USD (MM) | 15-Nov-2024 | 4.47 | 4.48 | 4.59 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU2816797836 Euro Government Liquidity FundPDCNAV
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100.532000 EUR | 163.40 EUR (MM) | 0.05 EUR (MM) | 15-Nov-2024 | 3.01 | 3.01 | 3.09 | 14-Nov-2024 | 31 | 31 | 14-Nov-2024 | 68.07 | 71.74 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959428894 Euro Liquidity FundLVNAV
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10,478.3400 EUR | 18.2 EUR (Bn) | 7.7 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1936284279 Sterling Liquidity FundLVNAV
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1.00 GBP | 6.8 GBP (Bn) | 1.3 GBP (Bn) | 15-Nov-2024 | 4.80 | 4.83 | 4.92 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1936290169 Sterling Liquidity FundLVNAV
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111.1940 GBP | 6.8 GBP (Bn) | 55.23 GBP (MM) | 15-Nov-2024 | 4.80 | 4.83 | 4.92 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1374726195 Sterling Liquidity FundLVNAV
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107.529640 GBP | 6.8 GBP (Bn) | 0.05 GBP (MM) | 15-Nov-2024 | 4.75 | 4.77 | 4.87 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1374725890 Euro Liquidity FundLVNAV
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104.081471 EUR | 18.2 EUR (Bn) | 72.32 EUR (MM) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875333527 Euro Liquidity FundLVNAV
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1.00 EUR | 18.2 EUR (Bn) | 0.01 EUR (MM) | 15-Nov-2024 | 3.10 | 3.10 | 3.19 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332123 US Dollar Liquidity FundLVNAV
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1.00 USD | 46.1 USD (Bn) | 4.68 USD (MM) | 15-Nov-2024 | 4.65 | 4.66 | 4.76 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875336892 US Dollar Treasury Liquidity FundPDCNAV
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1.00 USD | 16.2 USD (Bn) | 249.63 USD (MM) | 15-Nov-2024 | 4.42 | 4.43 | 4.54 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU2747065386 Euro Liquidity FundLVNAV
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1.00 EUR | 18.2 EUR (Bn) | 390.37 EUR (MM) | 15-Nov-2024 | 3.23 | 3.24 | 3.32 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU2747065469 Euro Liquidity FundLVNAV
|
102.8106 EUR | 18.2 EUR (Bn) | 1.07 EUR (MM) | 15-Nov-2024 | 3.23 | 3.24 | 3.32 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959442887 US Dollar Liquidity FundLVNAV
|
1.00 USD | 46.1 USD (Bn) | 792.15 USD (MM) | 15-Nov-2024 | 4.80 | 4.81 | 4.91 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1959443182 US Dollar Treasury Liquidity FundPDCNAV
|
1.00 USD | 16.2 USD (Bn) | 1.0 USD (Bn) | 15-Nov-2024 | 4.57 | 4.58 | 4.69 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959442960 US Dollar Liquidity FundLVNAV
|
113.399606 USD | 46.1 USD (Bn) | 1.9 USD (Bn) | 15-Nov-2024 | 4.80 | 4.81 | 4.91 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0904783973 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 0.01 EUR (MM) | 15-Nov-2024 | 3.18 | 3.18 | 3.27 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875333956 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 370.10 EUR (MM) | 15-Nov-2024 | 3.33 | 3.34 | 3.42 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875334764 Sterling Liquidity FundLVNAV
|
1.00 GBP | 6.8 GBP (Bn) | 5.4 GBP (Bn) | 15-Nov-2024 | 4.74 | 4.77 | 4.86 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875333444 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 7.6 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332040 US Dollar Liquidity FundLVNAV
|
1.00 USD | 46.1 USD (Bn) | 33.6 USD (Bn) | 15-Nov-2024 | 4.70 | 4.71 | 4.81 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875336629 US Dollar Treasury Liquidity FundPDCNAV
|
1.00 USD | 16.2 USD (Bn) | 11.3 USD (Bn) | 15-Nov-2024 | 4.47 | 4.48 | 4.59 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1954527922 US Dollar Ultra Short Income FundVNAV
|
9.980 USD | 341.40 USD (MM) | 40.36 USD (MM) | 15-Nov-2024 | 5.01 | 5.02 | 5.11 | 15-Nov-2024 | 89 | 98 | 15-Nov-2024 | 12.94 | 31.01 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU2816797752 Euro Government Liquidity FundPDCNAV
|
1.00 EUR | 163.40 EUR (MM) | 82.53 EUR (MM) | 15-Nov-2024 | 3.01 | 3.01 | 3.09 | 14-Nov-2024 | 31 | 31 | 14-Nov-2024 | 68.07 | 71.74 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875335498 Sterling Liquidity FundLVNAV
|
128.073667 GBP | 6.8 GBP (Bn) | 50.33 GBP (MM) | 15-Nov-2024 | 4.74 | 4.77 | 4.86 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875334178 Euro Liquidity FundLVNAV
|
113.075500 EUR | 18.2 EUR (Bn) | 2.1 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332800 US Dollar Liquidity FundLVNAV
|
127.530960 USD | 46.1 USD (Bn) | 519.88 USD (MM) | 15-Nov-2024 | 4.70 | 4.71 | 4.81 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875337437 US Dollar Treasury Liquidity FundPDCNAV
|
101.967453 USD | 16.2 USD (Bn) | 4.82 USD (MM) | 15-Nov-2024 | 4.47 | 4.48 | 4.59 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU2816797836 Euro Government Liquidity FundPDCNAV
|
100.532000 EUR | 163.40 EUR (MM) | 0.05 EUR (MM) | 15-Nov-2024 | 3.01 | 3.01 | 3.09 | 14-Nov-2024 | 31 | 31 | 14-Nov-2024 | 68.07 | 71.74 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959428894 Euro Liquidity FundLVNAV
|
10,478.3400 EUR | 18.2 EUR (Bn) | 7.7 EUR (Bn) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1936284279 Sterling Liquidity FundLVNAV
|
1.00 GBP | 6.8 GBP (Bn) | 1.3 GBP (Bn) | 15-Nov-2024 | 4.80 | 4.83 | 4.92 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1936290169 Sterling Liquidity FundLVNAV
|
111.1940 GBP | 6.8 GBP (Bn) | 55.23 GBP (MM) | 15-Nov-2024 | 4.80 | 4.83 | 4.92 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1374726195 Sterling Liquidity FundLVNAV
|
107.529640 GBP | 6.8 GBP (Bn) | 0.05 GBP (MM) | 15-Nov-2024 | 4.75 | 4.77 | 4.87 | 14-Nov-2024 | 41 | 66 | 14-Nov-2024 | 34.08 | 40.82 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1374725890 Euro Liquidity FundLVNAV
|
104.081471 EUR | 18.2 EUR (Bn) | 72.32 EUR (MM) | 15-Nov-2024 | 3.17 | 3.18 | 3.26 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875333527 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 0.01 EUR (MM) | 15-Nov-2024 | 3.10 | 3.10 | 3.19 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875332123 US Dollar Liquidity FundLVNAV
|
1.00 USD | 46.1 USD (Bn) | 4.68 USD (MM) | 15-Nov-2024 | 4.65 | 4.66 | 4.76 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU0875336892 US Dollar Treasury Liquidity FundPDCNAV
|
1.00 USD | 16.2 USD (Bn) | 249.63 USD (MM) | 15-Nov-2024 | 4.42 | 4.43 | 4.54 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU2747065386 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 390.37 EUR (MM) | 15-Nov-2024 | 3.23 | 3.24 | 3.32 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU2747065469 Euro Liquidity FundLVNAV
|
102.8106 EUR | 18.2 EUR (Bn) | 1.07 EUR (MM) | 15-Nov-2024 | 3.23 | 3.24 | 3.32 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959442887 US Dollar Liquidity FundLVNAV
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1.00 USD | 46.1 USD (Bn) | 792.15 USD (MM) | 15-Nov-2024 | 4.80 | 4.81 | 4.91 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ISIN: LU1959443182 US Dollar Treasury Liquidity FundPDCNAV
|
1.00 USD | 16.2 USD (Bn) | 1.0 USD (Bn) | 15-Nov-2024 | 4.57 | 4.58 | 4.69 | 15-Nov-2024 | 48 | 63 | 15-Nov-2024 | 51.08 | 65.69 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU1959442960 US Dollar Liquidity FundLVNAV
|
113.399606 USD | 46.1 USD (Bn) | 1.9 USD (Bn) | 15-Nov-2024 | 4.80 | 4.81 | 4.91 | 15-Nov-2024 | 55 | 71 | 15-Nov-2024 | 27.46 | 49.83 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0904783973 Euro Liquidity FundLVNAV
|
1.00 EUR | 18.2 EUR (Bn) | 0.01 EUR (MM) | 15-Nov-2024 | 3.18 | 3.18 | 3.27 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Daily Pricing
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Yields
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Statistics
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Net Asset Value (per share) |
Fund Assets | Share Class Assets | As of Date | 1-Day Net Current Yield (%) | 7-Day Net Current Yield (%) | 30-Day Net Current Yield (%) | As of Date | WAM (Days) | WAL (Days) | As of Date | DAILY LIQUIDITY (%) | WEEKLY LIQUIDITY (%) | As of Date |
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ISIN: LU0875333956 Euro Liquidity FundLVNAV
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1.00 EUR | 18.2 EUR (Bn) | 370.10 EUR (MM) | 15-Nov-2024 | 3.33 | 3.34 | 3.42 | 14-Nov-2024 | 41 | 56 | 14-Nov-2024 | 33.37 | 41.93 | 14-Nov-2024 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Please visit out Glossary page for fund related terms and definitions.
Yields are subject to change. Returns may increase or decrease as a result of currency fluctuations. Please consider the investment objectives, risks, charges and expenses of the fund carefully before investing. The prospectus and key investor information document (KIID) contains this and other information about the fund. Please read the prospectus and KIID carefully before you invest.
It is important you read the legal information page before proceeding as it explains in which countries the Morgan Stanley Liquidity Funds are authorised for sale and where this website is directed.
The Funds are not a guaranteed investment and are different from an investment in deposits. The Funds do not rely on external support for guaranteeing the liquidity of the Fund or stabilising the NAV per share. The value of investments and the income from them may go down as well as up and you may not get back the amount you originally invested.
Each Fund is authorised to invest up to 100% of its assets in Money Market Instruments issued or guaranteed separately or jointly by a Sovereign Entity and by any other member states of the OECD and their central authorities or central banks subject to certain conditions. Please see Prospectus for further details.