Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio (MSTXX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
1.000
0.00 (0.00%)
Dec 4, 2025, 3:13 PM EST
0.00%
Fund Assets 1.00M
Expense Ratio 1.00%
Min. Investment $0.00
Turnover n/a
Dividend (ttm) 0.03
Dividend Yield 3.34%
Dividend Growth -22.08%
Payout Frequency Monthly
Ex-Dividend Date Nov 28, 2025
Previous Close 1.000
YTD Return 0.56%
1-Year Return 0.56%
5-Year Return n/a
52-Week Low 1.000
52-Week High 1.000
Beta (5Y) n/a
Holdings 73
Inception Date Mar 31, 2016

About MSTXX

MSTXX was founded on 2016-03-31. The Fund's investment strategy focuses on Instl US Treas MM with 0.51% total expense ratio. Morgan Stanley Institutional Liquidity Funds: Treasury Portfolio; Select Class Shares seeks preservation of capital, daily liquidity and maximum current income by investing exclusively in a portfolio of U.S. Treasury obligations and repurchase agreements collateralized by such securities.

Category Instl US Treas MM
Stock Exchange NASDAQ
Ticker Symbol MSTXX
Share Class Select Class

Performance

MSTXX had a total return of 0.56% in the past year. Since the fund's inception, the average annual return has been 0.12%, including dividends.

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

Symbol Share Class Expense Ratio
MATXX Advisor Class 0.20%
MISXX Institutional Class 0.20%
MAOXX Advisory Class 0.45%
MTSXX Institutional Select Class 0.25%

Top 10 Holdings

47.42% of assets
Name Symbol Weight
Fixed Income Clearing Corp. 5.330000% n/a 16.42%
Fixed Income Clearing Corp. 5.330000% n/a 4.38%
Natixis SA 5.330000% n/a 4.01%
BNP Paribas SA 5.410000% n/a 3.65%
JP Morgan Securities LLC 5.330000% n/a 3.65%
Citigroup Global Markets, Inc. 5.320000% n/a 3.65%
Fixed Income Clearing Corp. 5.320000% n/a 3.65%
U.S. Treasury Bill 0.000000% n/a 3.14%
Fixed Income Clearing Corp. 5.340000% n/a 2.55%
U.S. Treasury Bill 0.000000% n/a 2.32%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Nov 28, 2025 $0.00233 Nov 28, 2025
Oct 31, 2025 $0.00286 Oct 31, 2025
Sep 30, 2025 $0.00259 Sep 30, 2025
Aug 29, 2025 $0.00293 Aug 29, 2025
Jul 31, 2025 $0.00285 Jul 31, 2025
Jun 30, 2025 $0.00265 Jun 30, 2025
Full Dividend History