NAV As of 12/06/2024 $1.00 Change$0.00 DAILY YIELD As of 12/06/2024 4.36% FUND ASSETS As of 12/06/2024 $71.13bn WEEKLY LIQUID ASSETS As of 12/06/2024 53.74% OVERVIEW PERFORMANCE & FEES PORTFOLIO DIVIDENDS & CAPITAL GAINS DOCUMENTSObjective The Fund seeks current income...