Northern Institutional Funds - Treasury Portfolio (NITXX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
1.000
0.00 (0.00%)
Oct 30, 2024, 2:14 PM EDT
0.00%
Fund Assets 15.15B
Expense Ratio 0.15%
Min. Investment $5,000,000
Turnover n/a
Dividend (ttm) 0.04
Dividend Yield 3.92%
Dividend Growth -18.15%
Payout Frequency Monthly
Ex-Dividend Date Mar 31, 2026
Previous Close 1.000
YTD Return n/a
1-Year Return n/a
5-Year Return n/a
52-Week Low 1.000
52-Week High 1.000
Beta (5Y) 2.11
Holdings 78
Inception Date Nov 5, 2008

About NITXX

The Northern Institutional Funds - Treasury Portfolio (NITXX) seeks to maximize current income to the extent consistent with the preservation of capital and maintenance of liquidity by investing primarily in U.S. Treasury securities, securities guaranteed as to principal and interest by the U.S. government, and related repurchase agreements.

Category Instl US Treas MM
Stock Exchange NASDAQ
Ticker Symbol NITXX
Share Class Shares

Other Share Classes

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

Symbol Share Class Expense Ratio
NTPXX Premier Shares 0.20%
SWSXX Siebert Williams Shank Shares 0.15%

Top 10 Holdings

50.88% of assets
Name Symbol Weight
FEDERAL RESERVE BANK OF NEW YORK - TRI-PARTY FEDERAL RESERVE BANK 5.300000% n/a 15.34%
JP MORGAN SECURITIES LLC - TRI-PARTY JP MORGAN SECURITIES 5.320000% n/a 8.52%
BARCLAYS BANK PLC - TRI-PARTY BARCLAYS BAN 5.330000% n/a 4.87%
BARCLAYS CAPITAL INC - TRI-PARTY BARCLAYS CAPITA 5.330000% n/a 4.02%
RBC DOMINION SECURITIES INC - TRI-PARTY RBC DOMINION SECURIT 5.320000% n/a 3.65%
RBC DOMINION SECURITIES INC - TRI-PARTY RBC DOMINION SECURIT 5.320000% n/a 3.65%
BARCLAYS BANK PLC - TRI-PARTY BARCLAYS BAN 5.330000% n/a 3.04%
ROYAL BANK OF CANADA (NEW YORK BRANCH) - TRI-PARTY ROYAL BANK OF CANADA 5.330000% n/a 2.74%
UNITED STATES TREASURY - TREASURY FLOATING RATE NOTE 5.465739% n/a 2.56%
UNITED STATES TREASURY - TREASURY NOTE 4.500000% n/a 2.49%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Mar 31, 2026 $0.00294 Mar 31, 2026
Feb 27, 2026 $0.00266 Feb 27, 2026
Jan 30, 2026 $0.00296 Jan 30, 2026
Dec 31, 2025 $0.00315 Dec 31, 2025
Nov 28, 2025 $0.00318 Nov 28, 2025
Oct 31, 2025 $0.00338 Oct 31, 2025
Full Dividend History