NAV
As of 03/27/2025
$1.00
Change$0.00
DAILY YIELD
As of 03/27/2025
4.28%
FUND ASSETS
As of 03/27/2025
$298.66bn
WEEKLY LIQUID ASSETS
As of 03/27/2025
76.84%
Fund Facts
TickerOGVXX
CUSIP4812C0670
Share Class Number3164
Asset ClassMoney Market
Fund Inception Date06/14/1993
Share Class Inception Date06/14/1993
Fund Cut-off Time 05:00 PM
ESG Approach Integrated
Fund Stats
Daily Liquid Assets
As of 03/27/202559.44%
As of 03/27/202559.44%
Weekly Liquid Assets
As of 03/27/202576.84%
As of 03/27/202576.84%
WAM (days)
As of 03/27/202543
As of 03/27/202543
WAL (days)
As of 03/27/2025105
As of 03/27/2025105
Share Class Assets
As of 03/27/2025$180.13bn
As of 03/27/2025$180.13bn
Fund Assets
As of 03/27/2025$298.66bn
As of 03/27/2025$298.66bn
Daily Distribution Rate
As of 03/27/20250.000117186
As of 03/27/20250.000117186
Daily Yield
As of 03/27/20254.28%
As of 03/27/20254.28%
7 Day SEC Yield
As of 03/27/20254.34%
As of 03/27/20254.34%
7 Day SEC Yield Unsubsidized
As of 03/27/20254.34%
As of 03/27/20254.34%
7 Day Average Yield
As of 03/27/20254.25%
As of 03/27/20254.25%
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
Fitch
As of 03/25/2025AAAmmf
As of 03/25/2025AAAmmf
Minimum Investments
IRA
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Regular
Minimum Investment$50 Mn
Subsequent InvestmentNo Minimum
Objective
The Fund seeks high current income with liquidity and stability of principal.
- The Fund invests exclusively in high-quality, short-term securities that are issued or guaranteed by the U.S. government or by U.S. government agencies and instrumentalities.
- Some of the securities purchased by the Fund may be subject to repurchase agreements.
- The Fund will comply with SEC rules applicable to all money market funds, including Rule 2a-7 under the Investment Company Act of 1940.
Portfolio Managers

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

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

Portfolio Manager
28 years
In the industry
28 years
With J.P. Morgan
11 years
Managing this fund
Fund Facts
TickerOGVXX
CUSIP4812C0670
Share Class Number3164
Asset ClassMoney Market
Fund Inception Date06/14/1993
Share Class Inception Date06/14/1993
Fund Cut-off Time 05:00 PM
ESG Approach Integrated
Fund Stats
Daily Liquid Assets
As of 03/27/202559.44%
As of 03/27/202559.44%
Weekly Liquid Assets
As of 03/27/202576.84%
As of 03/27/202576.84%
WAM (days)
As of 03/27/202543
As of 03/27/202543
WAL (days)
As of 03/27/2025105
As of 03/27/2025105
Share Class Assets
As of 03/27/2025$180.13bn
As of 03/27/2025$180.13bn
Fund Assets
As of 03/27/2025$298.66bn
As of 03/27/2025$298.66bn
Daily Distribution Rate
As of 03/27/20250.000117186
As of 03/27/20250.000117186
Daily Yield
As of 03/27/20254.28%
As of 03/27/20254.28%
7 Day SEC Yield
As of 03/27/20254.34%
As of 03/27/20254.34%
7 Day SEC Yield Unsubsidized
As of 03/27/20254.34%
As of 03/27/20254.34%
7 Day Average Yield
As of 03/27/20254.25%
As of 03/27/20254.25%
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
Fitch
As of 03/25/2025AAAmmf
As of 03/25/2025AAAmmf
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 | 0.33% | 1.08% | 0.69% | 4.99% | 4.12% | 2.49% | 1.75% | 1.17% | 2.55% |
Performance - CUMULATIVE
1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since inception* | |
---|---|---|---|---|---|---|
At NAV | 4.99% | 12.88% | 13.06% | 18.94% | 19.09% | 122.47% |
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).
Contingent deferred sales charge ("CDSC") is applied to redemption of fund shares within the time period specified in the prospectus.
*Fund performance inception: 6/14/1993
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%
The Fund's adviser and/or its affiliates have contractually agreed to waive fees and/or reimburse expenses to the extent Total Annual Fund Operating Expenses (excluding acquired fund fees and expenses, dividend and interest expenses related to short sales, interest, taxes, expenses related to litigation and potential litigation and extraordinary expenses) exceed 0.180% of the average daily net assets. The Fund may invest in one or more money market funds advised by the adviser or its affiliates (affiliated money market funds). The Fund's adviser has contractually agreed to waive fees and/or reimburse expenses in an amount sufficient to offset the fees and expenses of the affiliated money market funds incurred by the Fund because of the Fund's investment in such money market funds. This waiver is in effect through 6/30/2025, at which time the adviser and/or its affiliates will determine whether to renew or revise it. The difference between net and gross fees includes all applicable fee waivers and expense reimbursements.
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