SNSXX | Schwab U.S. Treasury Money Fund - Investor Shares | Schwab Asset Management

Schwab U.S. Treasury Money Fund - Investor Shares

Type: Mutual Funds Symbol: SNSXX Net Expense Ratio: 0.340%

Summary

Objective

The fund’s goal is to seek the highest current income consistent with stability of capital and liquidity.

Highlights

  • Seeks to generate current income while maintaining liquidity
  • Typically invests in securities backed by the full faith and credit of the U.S. government**
  • Actively managed, benefiting from extensive credit research and professional money management

Schwab Asset Management is pleased to announce an update to the dividend distribution date for most of the Schwab Money Funds effective October 2024. Click here for more information.

Fund Details

Fund Profile

Fund Inception 01/17/2018
Total Net Assets
As of 04/25/2025
$37,961,918,773.90
Shares Outstanding
As of 04/25/2025
37,961,195,903
Daily Net Shareholder Flows^ $-30,970,606.35
Daily Liquid Assets^ 100.00%
Weekly Liquid Assets^ 100.00%
NAV
As of 04/25/2025
$1.00
Market-Based NAV^
As of 04/24/2025
$1.0001
Daily Distribution --
Management Style Active
Morningstar Category Money Market-Taxable
Product Type Government

The regulatory requirement to maintain Daily Liquid Assets does not apply to tax-exempt money market funds.

^

For further information on Net Shareholder Flows, Liquid Assets, and Market-Based NAV, please visit our Data Point Definitions & Glossary

Yields

7-Day Yield (with waivers)
As of 04/25/2025
3.98%
7-Day Yield (without waivers)
As of 04/25/2025
3.97%

The 7-Day Yield is the average income paid out over the previous seven days assuming interest income is not reinvested and it reflects the effect of all applicable waivers.  Absent such waivers, the fund’s yield would have been lower.  The 7-Day Yield (without waivers) is the yield without the effect of all applicable waivers.

Fees & Minimum

Gross Expense Ratio 0.360%
Minimum Initial Investment No Minimum
Net Expense Ratio † 0.340%

Fund Characteristics

Weighted Average Maturity
As of 04/25/2025
33.9 days
Weighted Average Life
As of 04/25/2025
72.0 days

Performance

Portfolio

Distributions

Liquidity

Net Flows