NAV
As of 04/02/2025
$1.00
Change$0.00
DAILY YIELD
As of 04/02/2025
4.17%
FUND ASSETS
As of 04/02/2025
$248.22bn
WEEKLY LIQUID ASSETS
As of 04/02/2025
99.89%
Fund Facts
TickerEJTXX
CUSIP48123X827
Share Class Number4574
Asset ClassMoney Market
Fund Inception Date11/30/1991
Share Class Inception Date02/23/2021
Fund Cut-off Time 03:00 PM
Fund Stats
Daily Liquid Assets
As of 04/02/202599.89%
As of 04/02/202599.89%
Weekly Liquid Assets
As of 04/02/202599.89%
As of 04/02/202599.89%
WAM (days)
As of 04/02/202549
As of 04/02/202549
WAL (days)
As of 04/02/2025101
As of 04/02/2025101
Share Class Assets
As of 04/02/2025$896.84mn
As of 04/02/2025$896.84mn
Fund Assets
As of 04/02/2025$248.22bn
As of 04/02/2025$248.22bn
Daily Distribution Rate
As of 04/02/20250.000114226
As of 04/02/20250.000114226
Daily Yield
As of 04/02/20254.17%
As of 04/02/20254.17%
7 Day SEC Yield
As of 04/02/20254.26%
As of 04/02/20254.26%
7 Day SEC Yield Unsubsidized
As of 04/02/20254.26%
As of 04/02/20254.26%
7 Day Average Yield
As of 04/02/20254.18%
As of 04/02/20254.18%
S&P Ratings
As of 03/25/2025AAAm
As of 03/25/2025AAAm
Moody's Rating
As of 03/25/2025Aaa-mf
As of 03/25/2025Aaa-mf
Minimum Investments
IRA
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Regular
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Objective
The Fund aims to provide the highest possible level of current income while still maintaining liquidity and providing maximum safety of principal.
- Invests solely in debt securities of the U.S. Treasury, including Treasury bills, bonds and notes. These investments carry different interest rates, maturities and issue dates.
- The interest on these securities is generally exempt from state and local income taxes.
- The Fund is a money market fund managed to meet the requirements of Rule 2a-7 under the Investment Company Act of 1940.
Portfolio Managers

Portfolio Manager
19 years
In the industry
10 years
With J.P. Morgan
3 years
Managing this fund

Portfolio Manager
36 years
In the industry
31 years
With J.P. Morgan
20 years
Managing this fund

Portfolio Manager
28 years
In the industry
28 years
With J.P. Morgan
11 years
Managing this fund
Fund Facts
TickerEJTXX
CUSIP48123X827
Share Class Number4574
Asset ClassMoney Market
Fund Inception Date11/30/1991
Share Class Inception Date02/23/2021
Fund Cut-off Time 03:00 PM
Fund Stats
Daily Liquid Assets
As of 04/02/202599.89%
As of 04/02/202599.89%
Weekly Liquid Assets
As of 04/02/202599.89%
As of 04/02/202599.89%
WAM (days)
As of 04/02/202549
As of 04/02/202549
WAL (days)
As of 04/02/2025101
As of 04/02/2025101
Share Class Assets
As of 04/02/2025$896.84mn
As of 04/02/2025$896.84mn
Fund Assets
As of 04/02/2025$248.22bn
As of 04/02/2025$248.22bn
Daily Distribution Rate
As of 04/02/20250.000114226
As of 04/02/20250.000114226
Daily Yield
As of 04/02/20254.17%
As of 04/02/20254.17%
7 Day SEC Yield
As of 04/02/20254.26%
As of 04/02/20254.26%
7 Day SEC Yield Unsubsidized
As of 04/02/20254.26%
As of 04/02/20254.26%
7 Day Average Yield
As of 04/02/20254.18%
As of 04/02/20254.18%
S&P Ratings
As of 03/25/2025AAAm
As of 03/25/2025AAAm
Moody's Rating
As of 03/25/2025Aaa-mf
As of 03/25/2025Aaa-mf
Minimum Investments
IRA
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Regular
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Performance
Monthly
As of 02/28/2025
Cumulative
As of 02/28/2025
Performance - MONTHLY
1 Month | 3 Months | YTD | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since inception* | |
---|---|---|---|---|---|---|---|---|---|
At NAV | 0.32% | 1.06% | 0.69% | 4.97% | 4.06% | 2.45% | 1.71% | 1.14% | 2.37% |
Performance - CUMULATIVE
1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since inception* | |
---|---|---|---|---|---|---|
At NAV | 4.97% | 12.68% | 12.84% | 18.45% | 18.48% | 117.71% |
The performance quoted is past performance and is not a guarantee of future results. Current performance may be higher or lower than the performance data shown. For performance current to the most recent month-end please call 1-800-766-7722 (institutional investors) or 1-800-480-4111 (retail investors).
*Fund performance inception: 11/30/1991
The quoted performance of the Fund includes performance of a predecessor fund/share class prior to the Fund's commencement of operations. Please refer to the current prospectus for further information.
Mutual funds have fees that reduce their performance: indexes do not. You cannot invest directly in an index.
Fees
Gross Expenses
0.18%
Net Expenses
0.18%
Dividend Schedule
Capital Gains Schedule
Documents
The performance quoted is past performance and is not a guarantee of future results. Current performance may be higher or lower than the performance data shown. For performance current to the most recent month-end please call 1-800-766-7722 (institutional investors) or 1-800-480-4111 (retail investors).
You could lose money by investing in the Fund. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it ca