First American Funds Inc. - Treasury Obligations Fund(FUPXX) USD 1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.70%USD 0.007USD0.003412023-02-28
USD0.003572023-01-31
20221.57%USD 0.016USD0.003372022-12-31
USD0.0032022-11-30
USD0.002542022-10-31
USD0.0022022-09-30
USD0.001782022-08-31
USD0.001272022-07-29
USD0.000832022-06-30
USD0.000522022-05-31
USD0.000212022-04-29
USD8.0E-52022-03-31
USD8.0E-52022-03-30
USD1.0E-52022-02-28
USD1.0E-52022-02-26
USD1.0E-52022-01-31
USD1.0E-52022-01-28
20210.04%USD 0USD1.0E-52021-12-30
USD1.0E-52021-11-29
USD1.0E-52021-10-28
USD1.0E-52021-09-29
USD1.0E-52021-08-30
USD1.0E-52021-07-29
USD1.0E-52021-06-29
USD2.0E-52021-05-27
USD2.0E-52021-04-29
USD3.0E-52021-03-30
USD0.00012021-02-26
USD3.0E-52021-02-25
USD0.00012021-01-29
USD3.0E-52021-01-28
20200.37%USD 0.004USD3.0E-52020-12-31
USD3.0E-52020-11-30
USD3.0E-52020-10-30
USD3.0E-52020-09-30
USD5.0E-52020-08-31
USD8.0E-52020-07-31
USD8.0E-52020-06-30
USD9.0E-52020-05-29
USD0.000162020-04-30
USD0.000672020-03-31
USD0.001182020-02-28
USD0.001272020-01-31
20191.13%USD 0.011USD0.00132019-12-31
USD0.001312019-11-29
USD0.00152019-10-31
USD0.001642019-09-30
USD0.001722019-08-30
USD0.00192019-07-31
USD0.00192019-06-28