Form N-MFP Data Sets

Contents

1         Overview.. 1

2         Scope. 2

3         Organization.. 2

4         File Formats. 3

5          Table Definitions. 4

5.1          SUBMISSION.. 4

5.2          FUND.. 5

5.3          SERIESLEVELINFO.. 5

5.4          MASTERFEEDERFUND.. 7

5.5          ADVISER.. 7

5.6          ADMINISTRATOR.. 7

5.7          TRANSFERAGENT. 8

5.8          SERIESSHADOWPRICE_L. 8

5.9          CLASSLEVELINFO.. 8

5.10        NETASSETVALUEPERSHARE_L. 9

5.11        SCHPORTFOLIOSECURITIES. 10

5.12        COLLATERALISSUERS. 11

5.13        NRSRO.. 12

5.14        DEMANDFEATURE. 12

5.15        GUARANTOR.. 12

5.16        ENHANCEMENTPROVIDER.. 13

6          Appendix. 13

 

 

1         Overview

The Monthly Schedule of Portfolio Holdings of Money Market Funds (Form N-MFP) Data Sets provides information from Money Market Funds extracted from N-MFP eXtensible Markup Language (XML) submissions in a flat file format to assist users in more easily constructing the data for analysis. These data sets includes any amendments to those submissions. The data has been automatically and directly taken from submissions created by the registrants and provided as-filed.  The data will be published monthly. Data contained in documents filed after 5:30pm EST on the fifth business day of the month will be included in the next monthly posting.

The following table lists the submission types for Form N-MFP and Amendments to previously filings are included in the data sets.

 

The Money Market Fund submission types are:

SUBMISSION TYPE

DESCRIPTION

N-MFP, N-MFP1, and N-MFP2

Monthly Schedule of Portfolio Holdings of Money Market Funds.  Forms N-MFP and N-MFP1are legacy versions of the form.  Form N-MFP2 submissions began in 2016.

N-MFP/A, N-MFP1/A, and N-MFP2/A

Amendments of a previous N-MFP filing.

NT N-MFP, NT N-MFP1, and NT N-MFP2

Notice of inability to timely file Form N-MFP.

 

DISCLAIMER: Form N-MFP data sets contain information derived from structured data filed with the Commission by individual registrants as well as Commission-generated filing identifiers. Because the data is derived from information provided by individual registrants, we cannot guarantee the accuracy of the data. In addition, it is possible inaccuracies or other errors were introduced into the data during the process of extracting the data and compiling. Finally, the data does not reflect all available information, including certain metadata associated with Commission filings. The data is intended to assist the public in analyzing data contained in Commission filings; however, it is not a substitute for such filings. Investors should review the full Commission filings before making any investment decision.

2         Scope

Form N-MFP data sets consist of XML data submitted from November 2010 through the current period.

Note:  EDGAR Technical Specifications provides information on N-MFP XML submissions.

3         Organization

Note that the data includes Form N-MFP information "as filed" in Electronic Data Gathering, Analysis, and Retrieval (EDGAR) document submissions including amendments of prior submissions.  Data in this submitted form may contain redundancies, inconsistencies, and discrepancies relative to prior submissions and other publication formats.  There are up to sixteen (16) data files.  Files ending in 'L' are from the legacy N-MFP submissions (forms N-MFP and N-MFP1). Each quarterly data set is accompanied by a metadata file conforming to the W3C specification for tabular data (https://www.w3.org/TR/2015/REC-tabular-data-model-20151217/) that encodes the following information about the data files and their relationships to each other.

1.     SUBMISSION identifies the EDGAR form N-MFP XML submissions and filer information, with each row having the primary key ACCESSION_NUMBER.

2.     FUND data contains either the successor fund information for applicable submissions where the fund is merging or to be acquired by another fund, or when funds have been acquired or merged, since the last filing, with each row having the primary key ACCESSION_NUMBER, FILENUMBER, SERIESID and FUND_TYPE.

3.     SERIESLEVELINFO data provides the series level information about the fund, with each row having the primary key ACCESSION_NUMBER.

4.     MASTERFEEDERFUND data provides details of feeder fund or master feeder fund for a series, with each row having the primary key ACCESSION_NUMBER, SERIESID and FUND_TYPE.

5.     ADVISER data provides the name of the investment adviser or sub-adviser in an N-MFP filing, with each row having the primary key ACCESSION_NUMBER, ADVISORFILENUMBER and ADVISER_TYPE.

6.     ADMINISTRATOR data contains the name of the series administrator(s), with each row having the primary key ACCESSION_NUMBER and ADMINISTRATORNAME.

7.     TRANSFERAGENT data contains the name of the fund transfer agent(s), with each row having the primary key ACCESSION_NUMBER and FILENUMBER.

8.     SERIESSHADOWPRICE_L data provides series shadow price details from the legacy form N-MFP, with each row having the primary key ACCESSION_NUMBER.

9.     CLASSLEVELINFO data provides class level information for each class of the series, with each row having the primary key ACCESSION_NUMBER and CLASSESID.

10.  NETASSETVALPERSHARE_L contains the Net Asset Value per Share for Money Market Fund Series from the legacy form N-MFP, with each row having the primary key ACCESSION_NUMBER, CLASSESID and TYPE.

11.  SCHPORTFOLIOSECURITIES data provides disclosures for each security held by the fund, with each row having the primary key ACCESSION_NUMBER and SECURITY_ID.

12.  COLLATERALISSUERS data provides details of collateral issuers and securities subjected to repurchase agreements, with each row having the primary key ACCESSION_NUMBER, SECURITY_ID, NAMEOFCOLLATERALISSUER, COLLATERALMATURITYDATE and VALUEOFCOLLATERALTOTHENEARESTC.

13.  NRSRO data provides rating information, name of the assigning NRSRO, and the identity of a demand feature issuer, enhancement provider, guarantor, or NRSRO, with each row having the primary key ACCESSION_NUMBER, SECURITY_ID, IDENTITY, TYPE, NAMEOFNRSRO and RATING.

14.  DEMANDFEATURE data contains demand feature details for a given security, with each row having the primary key ACCESSION_NUMBER, SECURITY_ID and IDENTITYOFDEMANDFEATUREISSUER.

15.  GUARANTOR data provides details of guarantor of security on which the fund is relying, with each row having the primary key ACCESSION_NUMBER, SECURITY_ID and IDENTITYOFTHEGUARANTOR.

16.  ENHANCEMENTPROVIDER data provides details of other security enhancements, with each row having the primary key ACCESSION_NUMBER, SECURITY_ID IDENTITYOFENHANCEMENTPROVIDER and TYPEOFENHANCEMENT.

4         File Formats

Each of the sixteen (16) data files provide text format, tab delimited, UTF-8 encoding.

5         Table Definitions

The fields in the tables below provide the following information: field name, description, data format, maximum field size, an indication of whether or not the field may be NULL (yes or no), and key. 

The Key field indicates whether the field is part of a unique index on the data.  There are two possible values for this field:

·         "*"   Indicates the field is part of the unique key for the row.  

·         Empty (nothing in field) means the field is not part of the unique compound key.

 

5.1          SUBMISSION

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

FILING_DATE

Filing date

DATE

No

SUBMISSIONTYPE

Submission type

VARCHAR2

20

No

 

CIK

Central Index Key assigned by the SEC to each entity that submits filing

VARCHAR2

10

Yes

 

REPORTDATE

Date of report

DATE

 

No

 

FILER_CIK

Filer CIK

VARCHAR2

10

No

REGISTRANTLEIID

Registrant legal entity identifier, a 20 alphanumeric globally unique identifier for companies and banks actively involved in the financial industry

VARCHAR2

20

Yes

 

SERIESID

EDGAR Series Identifier

VARCHAR2

10

No

 

SERIES_NAME

EDGAR Series name

VARCHAR2

150

Yes

 

TOTALSHARECLASSESINSERIES

Total number of share classes in the series

NUMBER

38.0

No

 

FINALFILINGFLAG

Y/N flag to identify if it is the fund’s final filing on Form N‐MFP

CHAR

1

No

 

FUNDLIQUIDATINGFLAG

Y/N flag to identify if the fund is liquidating

CHAR

1

Yes

 

FUNDMRGORACQRDBYOTHRFLAG

Y/N flag to identify if the fund is merging with, or being acquired by another fund in an N‐MFP filing

CHAR

1

Yes

 

FUNDACQRDORMRGDWTHANTHRFLAG

Y/N flag to identify if the fund has acquired or merged with another fund since the last filing in an N‐MFP filing

CHAR

1

Yes

 

REGISTRANT

Name of registrant company

VARCHAR2

150

Yes

 

SIGNATUREDATE

Date of signature

DATE

 

Yes

 

SIGNATURE

Signature of officer

VARCHAR2

150

Yes

 

NAMEOFSIGNINGOFFICER

Name of signing officer

VARCHAR2

150

Yes

 

TITLEOFSIGNINGOFFICER

Title of signing officer

VARCHAR2

150

Yes

 

 

5.2               FUND

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

CIK

Central Index Key assigned by the SEC to each entity that submits filing

VARCHAR2

10

Yes

 

FILENUMBER

File number assigned by the SEC

VARCHAR2

17

Yes

*

SERIESID

Identifier assigned by the SEC to each series of a registrant.  The format is an “S” followed by nine digits.

VARCHAR2

10

Yes

*

FUND_TYPE

Identifies whether the fund has either been “ACQUIRED or MERGED” or is the SUCCESSOR” fund

VARCHAR2

18

No

*

5.3               SERIESLEVELINFO

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITIESACTFILENUMBER

Securities Act file number

VARCHAR2

17

Yes

 

INDPPUBACCTNAME

Independent public accountant name

VARCHAR2

30

Yes

 

INDPPUBACCTCITY

Independent public accountant city

VARCHAR2

17

Yes

 

INDPPUBACCTSTATECOUNTRY

Independent public accountant state or country code

CHAR

2

Yes

 

FEEDERFUNDFLAG

Y/N flag to indicate a feeder fund

CHAR

1

No

 

MASTERFUNDFLAG

Y/N flag to indicate a master fund, a two-tiered arrangement in which one or more funds (or registered or unregistered pooled investment vehicles) holds shares of a single fund

CHAR

1

No

 

SERIESFUNDINSUCMPNYSEPACCNTFLA

Y/N flag to identify if this series is primarily used to fund insurance company separate accounts

CHAR

1

Yes

 

MONEYMARKETFUNDCATEGORY

Category of money market fund such as Treasury, Government/Agency, Exempt Government, Prime, Single State or Other Tax Exempt

VARCHAR2

300

No

 

FUNDEXEMPTRETAILFLAG

Y/N flag if fund is an exempt retail fund

CHAR

1

Yes

 

AVERAGEPORTFOLIOMATURITY

Dollar weighted average portfolio maturity

NUMBER

2

No

 

AVERAGELIFEMATURITY

Dollar weighted average life maturity

NUMBER

3

No

 

TOTDLYLIQUIDASSETFRIDAYWEEK1

Total value of Daily Liquid Assets as of the close of business on Friday, week 1

NUMBER

14.2

Yes

 

TOTDLYLIQUIDASSETFRIDAYWEEK2

Total value of Daily Liquid Assets as of the close of business on Friday, week 2

NUMBER

14.2

Yes

 

TOTDLYLIQUIDASSETFRIDAYWEEK3

Total value of Daily Liquid Assets as of the close of business on Friday, week 3

NUMBER

14.2

Yes

 

TOTDLYLIQUIDASSETFRIDAYWEEK4

Total value of Daily Liquid Assets as of the close of business on Friday, week 4

NUMBER

14.2

Yes

 

TOTDLYLIQUIDASSETFRIDAYWEEK5

Total value of Daily Liquid Assets as of the close of business on Friday, week 5

NUMBER

14.2

Yes

 

TOTWLYLIQUIDASSETFRIDAYWEEK1

Total value of Weekly Liquid Assets as of the close of business on Friday, week 1

NUMBER

14.2

Yes

 

TOTWLYLIQUIDASSETFRIDAYWEEK2

Total value of Weekly Liquid Assets as of the close of business on Friday, week 2

NUMBER

14.2

Yes

 

TOTWLYLIQUIDASSETFRIDAYWEEK3

Total value of Weekly Liquid Assets as of the close of business on Friday, week 3

NUMBER

14.2

Yes

 

TOTWLYLIQUIDASSETFRIDAYWEEK4

Total value of Weekly Liquid Assets as of the close of business on Friday, week 4

NUMBER

14.2

Yes

 

TOTWLYLIQUIDASSETFRIDAYWEEK5

Total value of Weekly Liquid Assets as of the close of business on Friday, week 5

NUMBER

14.2

Yes

 

PCTDLYLIQUIDASSETFRIDAYWEEK1

Percentage of Total Assets invested in Daily Liquid Assets as of the close of business on Friday, week 1

NUMBER

5.4

Yes

 

PCTDLYLIQUIDASSETFRIDAYWEEK2

Percentage of Total Assets invested in Daily Liquid Assets as of the close of business on Friday, week 2

NUMBER

5.4

Yes

 

PCTDLYLIQUIDASSETFRIDAYWEEK3

Percentage of Total Assets invested in Daily Liquid Assets as of the close of business on Friday, week 3

NUMBER

5.4

Yes

 

PCTDLYLIQUIDASSETFRIDAYWEEK4

Percentage of Total Assets invested in Daily Liquid Assets as of the close of business on Friday, week 4

NUMBER

5.4

Yes

 

PCTDLYLIQUIDASSETFRIDAYWEEK5

Percentage of Total Assets invested in Daily Liquid Assets as of the close of business on Friday, week 5

NUMBER

5.4

Yes

 

PCTWKLYLIQUIDASSETFRIDAYWEEK1

Percentage of Total Assets invested in Weekly Liquid Assets as of the close of business on Friday, week 1

NUMBER

5.4

Yes

 

PCTWKLYLIQUIDASSETFRIDAYWEEK2

Percentage of Total Assets invested in Weekly Liquid Assets as of the close of business on Friday, week 2

NUMBER

5.4

Yes

 

PCTWKLYLIQUIDASSETFRIDAYWEEK3

Percentage of Total Assets invested in Weekly Liquid Assets as of the close of business on Friday, week 3

NUMBER

5.4

Yes

 

PCTWKLYLIQUIDASSETFRIDAYWEEK4

Percentage of Total Assets invested in Weekly Liquid Assets as of the close of business on Friday, week 4

NUMBER

5.4

Yes

 

PCTWKLYLIQUIDASSETFRIDAYWEEK5

Percentage of Total Assets invested in Weekly Liquid Assets as of the close of business on Friday, week 5

NUMBER

5.4

Yes

 

CASH

Cash amount

NUMBER

14.2

Yes

 

TOTALVALUEPORTFOLIOSECURITIES

Total value of portfolio securities

NUMBER

14.2

Yes

 

AMORTIZEDCOSTPORTFOLIOSECURITI

Total value of portfolio securities, using amortized cost

NUMBER

14.2

Yes

 

TOTALVALUEOTHERASSETS

Total value of other assets for the fund, to the nearest cent

NUMBER

14.2

No

 

TOTALVALUELIABILITIES

Total value of liabilities for the fund, to the nearest cent

NUMBER

14.2

No

 

NETASSETOFSERIES

Net assets of the series, to the nearest cent

NUMBER

14.2

No

 

NUMBEROFSHARESOUTSTANDING

Number of shares outstanding, to the nearest hundredth

NUMBER

16.4

Yes

 

STABLEPRICEPERSHARE

Stable price per share

NUMBER

8.4

Yes

 

SEVENDAYGROSSYIELD

7‐day gross yield for the series. Based on the 7 days ended on the last day of the prior month, calculate the fund’s yield by determining the net change, exclusive of capital changes and income other than investment income, in the value of a hypothetical pre‐existing account having a balance of one share at the beginning of the period and dividing the difference by the value of the account at the beginning of the base period to obtain the base period return, and then multiplying the base period return by (365/7) with the resulting yield figure carried to at least the nearest hundredth of one per cent. The 7‐day gross yield should not reflect a deduction of shareholders fees and fund operating expenses.

NUMBER

5.4

No

 

NETASSETVALUEFRIDAYWEEK1

Net asset value as of the close of business on Friday, week 1

NUMBER

8.4

Yes

 

NETASSETVALUEFRIDAYWEEK2

Net asset value as of the close of business on Friday, week 2

NUMBER

8.4

Yes

 

NETASSETVALUEFRIDAYWEEK3

Net asset value as of the close of business on Friday, week 3

NUMBER

8.4

Yes

 

NETASSETVALUEFRIDAYWEEK4

Net asset value as of the close of business on Friday, week 4

NUMBER

8.4

Yes

 

NETASSETVALUEFRIDAYWEEK5

Net asset value as of the close of business on Friday, week 5

NUMBER

8.4

Yes

 

 

5.4               MASTERFEEDERFUND

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

CIK

Central Index Key assigned by the SEC to each entity that submits filing

VARCHAR2

10

Yes

 

NAME

Fund name

VARCHAR2

150

Yes

 

FILENUMBER

File number assigned by the SEC

VARCHAR2

17

Yes

 

SERIESID

Identifier assigned by the SEC to each series of a registrant.  The format is an “S” followed by nine digits.

VARCHAR2

10

Yes

*

FUND_TYPE

The type of fund which could be classified as either the “MASTER” or “FEEDER”

VARCHAR2

6

No

*

 

 

5.5               ADVISER

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

ADVISERNAME

Name of the entity that has registered with the SEC, under the Investment Advisers Act of 1940, as the adviser to the Registrant

VARCHAR2

150

Yes

 

ADVISERFILENUMBER

Adviser’s file number assigned by the SEC

VARCHAR2

17

No

*

ADVISER_TYPE

Type of adviser classification, either as the primary “ADVISER” or “SUB-ADVISER”

VARCHAR2

10

No

*

 

5.6               ADMINISTRATOR

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

ADMINISTRATORNAME

Name of fund administrator

VARCHAR2

150

No

*

5.7               TRANSFERAGENT 

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

NAME

Transfer agent name

VARCHAR2

150

Yes

 

CIK

Central Index Key assigned by the SEC to each entity that submits filing

VARCHAR2

10

Yes

 

FILENUMBER

File number assigned by the SEC

VARCHAR2

17

Yes

*

 

5.8               SERIESSHADOWPRICE_L

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

NETVALUEPERSHAREINCLUDINGCAPIT

Net asset value per share, including value of any capital support agreement

NUMBER

16.4

No

 

NETVALUEPERSHAREINCAPCALCDATE

Date as of which the net asset value per share including capital was calculated

DATE

 

No

 

NETVALUEPERSHAREEXCLUDINGCAPIT

Net asset value per share, excluding value of any capital support agreement

NUMBER

16.4

No

 

NETVALUEPERSHAREEXCAPCALCDATE

Date as of which the net asset value per share excluding capital was calculated

DATE

 

No

 

5.9           CLASSLEVELINFO

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

CLASSESID

Fund class identifier

VARCHAR2

10

No

*

CLASS_NAME

Class name

VARCHAR2

150

Yes

 

MININITIALINVESTMENT

Minimum initial investment amount

NUMBER

14.2

No

 

NETASSETSOFCLASS

Net assets of the class, to the nearest cent

NUMBER

14.2

No

 

NUMBEROFSHARESOUTSTANDING

Number of shares outstanding, to the nearest hundredth

NUMBER

16.2

Yes

 

NETASSETPERSHAREFRIDAYWEEK1

Net asset value per share as of the close of business on Friday, week 1 of the month reported

NUMBER

8.4

Yes

 

NETASSETPERSHAREFRIDAYWEEK2

Net asset value per share as of the close of business on Friday, week 2 of the month reported

NUMBER

8.4

Yes

 

NETASSETPERSHAREFRIDAYWEEK3

Net asset value per share as of the close of business on Friday, week 3 of the month reported

NUMBER

8.4

Yes

 

NETASSETPERSHAREFRIDAYWEEK4

Net asset value per share as of the close of business on Friday, week 4 of the month reported

NUMBER

8.4

Yes

 

NETASSETPERSHAREFRIDAYWEEK5

Net asset value per share as of the close of business on Friday, week 5 of the month reported

NUMBER

8.4

Yes

 

GROSSSUBSCRIPTIONFRIDAYWEEK1

Gross subscriptions for the class (including dividend reinvestments), to the nearest cent, as of Friday, week 1 of the month reported

NUMBER

14.2

Yes

 

GROSSREDEMPTIONFRIDAYWEEK1

Gross redemptions for the class, to the nearest cent, as of Friday, week 1 of the month reported

NUMBER

14.2

Yes

 

GROSSSUBSCRIPTIONFRIDAYWEEK2

Gross subscriptions for the class (including dividend reinvestments), to the nearest cent, as of Friday, week 2 of the month reported

NUMBER

14.2

Yes

 

GROSSREDEMPTIONFRIDAYWEEK2

Gross redemptions for the class, to the nearest cent, as of Friday, week 2 of the month reported

NUMBER

14.2

Yes

 

GROSSSUBSCRIPTIONFRIDAYWEEK3

Gross subscriptions for the class (including dividend reinvestments), to the nearest cent, as of Friday, week 3 of the month reported

NUMBER

14.2

Yes

 

GROSSREDEMPTIONFRIDAYWEEK3

Gross redemptions for the class, to the nearest cent, as of Friday, week 3 of the month reported

NUMBER

14.2

Yes

 

GROSSSUBSCRIPTIONFRIDAYWEEK4

Gross subscriptions for the class (including dividend reinvestments), to the nearest cent, as of Friday, week 4 of the month reported

NUMBER

14.2

Yes

 

GROSSREDEMPTIONFRIDAYWEEK4

Gross redemptions for the class, to the nearest cent, as of Friday, week 4 of the month reported

NUMBER

14.2

Yes

 

GROSSSUBSCRIPTIONFRIDAYWEEK5

Gross subscriptions for the class (including dividend reinvestments), to the nearest cent, as of Friday, week 5 of the month reported

NUMBER

14.2

Yes

 

GROSSREDEMPTIONFRIDAYWEEK5

Gross redemptions for the class, to the nearest cent, as of Friday, week 5 of the month reported

NUMBER

14.2

Yes

 

TOTFORMNTHWLYGROSSREDEMPTION

Gross redemptions for the month ended for the class, to the nearest cent

NUMBER

14.2

No

 

TOTFORMNTHWLYGROSSSUBSCRIPTION

Gross subscriptions for the month ended for the class (including dividend reinvestments), to the nearest cent

NUMBER

14.2

No

 

NETASSETVALUEPERSHARE_L

Net asset value per share in legacy form

NUMBER

14.2

Yes

 

NETSHAREHOLDERFLOWACTIVITYFO_L

Net shareholder flow activity in legacy form

NUMBER

14.2

Yes

 

SEVENDAYNETYIELD

Seven day net yield

NUMBER

5.4

No

 

PERSONPAYFORFUNDFLAG

Y/N flag if any person paid or waived all or part of the fund’s operating expenses or management fees

CHAR

1

Yes

 

NAMEOFPERSONDESCEXPENSEPAY

Name of person or description of expense payment or fee waiver, or both

VARCHAR2

400

Yes

 

 

5.10           NETASSETVALUEPERSHARE_L 

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

CLASSESID

Fund class identifier

VARCHAR2

10

No

VALUE

Net asset value per share

NUMBER

16.4

No

 

DATEASOFWHICHVALUEWASCALCULATE

Date as of which net asset value was calculated

DATE

 

No

 

TYPE

‘IN’ for inclusions or ‘EX’ for exclusions

VARCHAR2

 2

No

*

5.11            SCHPORTFOLIOSECURITIES

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security in a portfolio

NUMBER

38.0

No

*

NAMEOFISSUER

Name of issuer

VARCHAR2

150

No

 

TITLEOFISSUER

Title of the issuer (including coupon or yield)

VARCHAR2

200

No

 

CUSIP_NUMBER

9-character code assigned to stocks and registered bonds in the U.S. and Canada

VARCHAR2

9

Yes

LEI

Legal Entity Identifier, a 20-alphanumeric globally unique identifier for companies and banks actively involved in the financial industry

VARCHAR2

20

Yes

 

ISIN

International Securities Identification Number

VARCHAR2

12

Yes

 

CIK

Central Index Key assigned by the SEC to each entity that submits filing

VARCHAR2

10

Yes

 

OTHERUNIQUEID

Security unique identifier, other than CUSIP, LEI, ISIN or CIK

VARCHAR2

20

Yes

 

INVESTMENTCATEGORY

Investment categories are U.S. Treasury Debt, U.S. Government Agency Debt, Non-U.S. Sovereign or Sub-Sovereign, Certificate of Deposit and Supra-National debt, Non-Negotiable Time Deposit, Variable Rate Demand Note, Municipal Security, Asset Backed Commercial Paper, Other Asset Backed Securities, U.S. Treasury Repurchase Agreement, U.S. Government Agency Repurchase Agreement, Other Repurchase Agreement, Insurance Company Funding Agreement, Investment Company, Financial Company Commercial Paper, Non-Financial Company Commercial Paper, Tender Option Bond, and Other Instrument

VARCHAR2

200

Yes

 

BRIEFDESCRIPTION

Description of other security instrument

VARCHAR2

250

Yes

 

FUNDACQSTNUNDRLYNGSECURITYFLAG

Y/N flag if the security is a repurchase agreement, then is the fund treating the acquisition of the repurchase agreement as the acquisition of the underlying securities (i.e., collateral) for purposes of portfolio diversification under rule 2a‐7

CHAR

1

Yes

 

REPURCHASEAGREEMENTOPENFLAG

Y/N flag if the security is open for repurchase agreement

CHAR

1

Yes

 

SECURITYELIGIBILITYFLAG

Y/N flag if the security is an Eligible Security

CHAR

1

Yes

 

INVESTMENTMATURITYDATEWAM

Maturity date determined by taking into account the maturity shortening provisions, such as the maturity date used to calculate WAM, Dollar-weighted average portfolio maturity, under rule 2a‐7(d)

DATE

No

 

INVESTMENTMATURITYDATEWAL

Maturity date determined without reference to the exceptions in rule 2a-7(i) regarding interest  rate readjustments (i.e. the maturity date used to determine WAL, Dollar-weighted average life maturity of the security) taking into account of rule 2a‐7(d)

DATE

Yes

 

FINALLEGALINVESTMENTMATURITYDA

Maturity date determined without reference to the maturity shortening provisions of rule 2a-7(i) (i.e., the ultimate legal maturity date on which, in accordance with the terms of the security without regard to any interest rate readjustment or demand feature, the principal amount must unconditionally be paid)

DATE

Yes

 

SECURITYDEMANDFEATUREFLAG

Y/N flag to identify if the security have a demand feature

CHAR

1

No

 

SECURITYGUARANTEEFLAG

Y/N flag to identify if the security have a guarantee

CHAR

1

No

 

SECURITYENHANCEMENTSFLAG

Y/N flag to identify if the security have any enhancements, other than those identified in Items 37 and 38 of Form N‐MFP, on which the fund is relying to determine the quality, maturity or liquidity of the security

CHAR

1

No

 

YIELDOFTHESECURITYASOFREPORTIN

Yield of security as of reporting date

NUMBER

5

Yes

 

INCLUDINGVALUEOFANYSPONSORSUPP

The value of the security, calculated using available market quotations (or an appropriate substitute that reflects current market conditions), including the value of any capital support agreement, to the nearest cent

NUMBER

14.2

No

 

EXCLUDINGVALUEOFANYSPONSORSUPP

The value of the security, calculated using available market quotations (or an appropriate substitute that reflects current market conditions), excluding the value of any capital support agreement, to the nearest cent

NUMBER

14.2

No

 

PERCENTAGEOFMONEYMARKETFUNDNET

The percentage of the money market fund’s net assets invested in a security, to the nearest hundredth of a percent

NUMBER

5.4

No

 

SECURITYCATEGORIZEDATLEVEL3FLA

Y/N flag to identify if the security is categorized at level 3 in the fair value hierarchy under U.S. Generally Accepted Accounting Principles (ASC 820, Fair Value Measurement)

CHAR

1

Yes

 

DAILYLIQUIDASSETSECURITYFLAG

Y/N flag to identify if the security is a Daily Liquid Asset

CHAR

1

Yes

 

WEEKLYLIQUIDASSETSECURITYFLAG

Y/N flag to identify if the security is a Weekly Liquid Asset

CHAR

1

Yes

 

ILLIQUIDSECURITYFLAG

Y/N flag to identify if this is an Illiquid Security as of the date of this report

CHAR

1

Yes

 

EXPLANATORYNOTES

Disclosure of any other information that may be material to other disclosures related to the portfolio security

VARCHAR2

250

Yes

 

RATING_L

Rating – in legacy form

VARCHAR2

250

Yes

 

INVESTMENTOWNEDBALANCEPRINCI_L

Investment owned principal balance – in legacy form

NUMBER

14.2

Yes

 

AVAILABLEFORSALESECURITIESAM_L

Available for sale securities – in  legacy form

NUMBER

14.2

Yes

 

 

5.12           COLLATERALISSUERS

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security

NUMBER

38.0

No

*

NAMEOFCOLLATERALISSUER

Name of collateral issuer

VARCHAR2

150

Yes

*

LEI

Legal Entity Identifier, a 20-alphanumeric globally unique identifier for companies and banks actively involved in the financial industry

VARCHAR2

20

Yes

 

COLLATERALMATURITYDATE

Collateral maturity date

VARCHAR2

10

Yes

*

TFROM

Range of maturity dates starting from

VARCHAR2

10

Yes

 

TTO

Range of maturity dates ending on

VARCHAR2

10

Yes

 

COUPONORYIELD

Coupon or yield

VARCHAR2

25

Yes

 

PRINCIPALAMOUNTTOTHENEARESTCEN

Principal amount to the nearest cent

NUMBER

14.2

Yes

 

VALUEOFCOLLATERALTOTHENEARESTC

Value of the collateral to the nearest cent

NUMBER

14.2

Yes

CTGRYINVESTMENTSRPRSNTSCOLLATE

Categories of investments that most closely represents the collateral.  These are Asset-Backed Securities, Agency Collateralized Mortgage Obligations, Agency Debentures and Agency Strips, Agency Mortgage-Backed Securities, Private Label Collateralized Mortgage Obligations, Corporate Debt Securities, Equities, Money Market, U.S. Treasuries, and Other.

VARCHAR2

100

Yes

 

OTHERINSTRUMENTBRIEFDESC

Brief description of other instrument and if applicable, whether it is a collateralized debt obligation, municipal debt, whole loan, or international debt

VARCHAR2

250

Yes

 

 

5.13           NRSRO

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security

NUMBER

38.0

No

*

IDENTITY

Identity of either the demand feature issuer, enhancement provider, guarantor, or none in the case the rating is for the security

VARCHAR2

150

Yes

*

TYPE

The type is categorized either as “SECURITY”, “DEMAND FEATURE”, “ENHANCEMENT”, or “GUARANTOR”

VARCHAR2

15

No

*

NAMEOFNRSRO

Name of assigning NRSRO (Nationally Recognized Statistical Ratings Organization) agency

VARCHAR2

150

 Yes

*

RATING

Rating code assigned to either the security, demand feature (or provider), enhancement (or provider), or guarantor to be considered in determining the quality or risk

VARCHAR2

20

Yes

5.14            DEMANDFEATURE

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security

NUMBER

38.0

No

*

IDENTITYOFDEMANDFEATUREISSUER

Identity of the demand feature issuer for the security

VARCHAR2

150

Yes

*

AMOUNTPROVIDEDBYDEMANDFEATUREI

The amount provided by the demand feature issuer

NUMBER

5.4

Yes

 

REMAININGPERIODDEMANDFEATURE

The period remaining until the principal amount of the security may be recovered through the demand feature

NUMBER

3.0

Yes

 

DEMANDFEATURECONDITIONALFLAG

Y/N flag if the demand feature is conditional

CHAR

1

Yes

 

 

5.15           GUARANTOR

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security

NUMBER

38.0

No

*

IDENTITYOFTHEGUARANTOR

Identity of the guarantor

VARCHAR2

150

No

*

AMOUNTPROVIDEDBYGUARANTOR

The amount of fractional support provided by the guarantor

NUMBER

5.4

Yes

 

 

 

 

 

 

 

5.16           ENHANCEMENTPROVIDER 

 

 

 

Field Name

Field Description

Format

Max Size

Nullable

Key

ACCESSION_NUMBER

Unique identifier assigned by the SEC to each EDGAR submission

VARCHAR2

25

No

*

SECURITY_ID

Surrogate key for the security

NUMBER

38.0

No

*

IDENTITYOFENHANCEMENTPROVIDER

Identity of the enhancement provider

VARCHAR2

150

No

*

TYPEOFENHANCEMENT

The type of enhancement on which the fund is relying to determine the quality, maturity or liquidity of the security

VARCHAR2

150

No

*

AMOUNTPROVIDEDBYENHANCEMENT

The amount of fractional support provided by each enhancement provider

NUMBER

5.4

Yes

 

6         Appendix

U.S. State/Country Codes and Descriptions

 

AL        ALABAMA

AK        ALASKA

AZ        ARIZONA

AR        ARKANSAS

CA        CALIFORNIA

CO        COLORADO

CT        CONNECTICUT

DE        DELAWARE

DC        DISTRICT OF COLUMBIA

FL         FLORIDA

GA        GEORGIA

GU        GUAM

HI         HAWAII

ID        IDAHO

IL         ILLINOIS

IN         INDIANA

IA         IOWA

KS        KANSAS

KY        KENTUCKY

LA        LOUISIANA

ME        MAINE

MD       MARYLAND

MA       MASSACHUSETTS

MI        MICHIGAN

MN       MINNESOTA

MS       MISSISSIPPI

MO       MISSOURI

MT        MONTANA

NE        NEBRASKA

NV        NEVADA

NH        NEW HAMPSHIRE

NJ        NEW JERSEY

NM       NEW MEXICO

NY        NEW YORK

NC        NORTH CAROLINA

ND        NORTH DAKOTA

OH       OHIO

OK        OKLAHOMA

OR        OREGON

PA        PENNSYLVANIA

RI         RHODE ISLAND

SC        SOUTH CAROLINA

SD        SOUTH DAKOTA

TN        TENNESSEE

TX        TEXAS

UT        UTAH

VT        VERMONT

VA        VIRGINIA

WA       WASHINGTON

WV       WEST VIRGINIA

WI        WISCONSIN

WY       WYOMING

PR        PUERTO RICO

VI         VIRGIN ISLANDS, U.S.

A0        ALBERTA, CANADA

A1        BRITISH COLUMBIA, CANADA

Z4        CANADA (FEDERAL LEVEL)

A2        MANITOBA, CANADA

A3        NEW BRUNSWICK, CANADA

A4        NEWFOUNDLAND, CANADA

A5        NOVA SCOTIA, CANADA

A6        ONTARIO, CANADA

A7        PRINCE EDWARD ISLAND, CANADA

A8        QUEBEC, CANADA

A9        SASKATCHEWAN, CANADA

B0        YUKON, CANADA

B2        AFGHANISTAN

Y6        ALAND ISLANDS

B3        ALBANIA

B4        ALGERIA

B5        AMERICAN SAMOA

B6        ANDORRA

B7        ANGOLA

1A        ANGUILLA

B8        ANTARCTICA

B9        ANTIGUA AND BARBUDA

C1        ARGENTINA

1B        ARMENIA

1C        ARUBA

C3        AUSTRALIA

C4        AUSTRIA

1D        AZERBAIJAN

C5        BAHAMAS

C6        BAHRAIN

C7        BANGLADESH

C8        BARBADOS

1F        BELARUS

C9        BELGIUM

D1        BELIZE

G6        BENIN

D0        BERMUDA

D2        BHUTAN

D3        BOLIVIA

1E        BOSNIA AND HERZEGOVINA

B1        BOTSWANA

D4        BOUVET ISLAND

D5        BRAZIL

D6        BRITISH INDIAN OCEAN TERRITORY

D9        BRUNEI DARUSSALAM

E0        BULGARIA

X2        BURKINA FASO

E2        BURUNDI

E3        CAMBODIA

E4        CAMEROON

E8        CAPE VERDE

E9        CAYMAN ISLANDS

F0        CENTRAL AFRICAN REPUBLIC

F2        CHAD

F3        CHILE

F4        CHINA

F6        CHRISTMAS ISLAND

F7        COCOS (KEELING) ISLANDS

F8        COLOMBIA

F9        COMOROS

G0        CONGO

Y3        CONGO, THE DEMOCRATIC REPUBLIC OF THE

G1        COOK ISLANDS

G2        COSTA RICA

L7         COTE D'IVOIRE

1M        CROATIA

G3        CUBA

G4        CYPRUS

2N        CZECH REPUBLIC

G7        DENMARK

1G        DJIBOUTI

G9        DOMINICA

G8        DOMINICAN REPUBLIC

H1        ECUADOR

H2        EGYPT

H3        EL SALVADOR

H4        EQUATORIAL GUINEA

1J         ERITREA

1H        ESTONIA

H5        ETHIOPIA

H7        FALKLAND ISLANDS (MALVINAS)

H6        FAROE ISLANDS

H8        FIJI

H9        FINLAND

I0         FRANCE

I3         FRENCH GUIANA

I4         FRENCH POLYNESIA

2C        FRENCH SOUTHERN TERRITORIES

I5         GABON

I6         GAMBIA

2Q        GEORGIA

2M        GERMANY

J0         GHANA

J1         GIBRALTAR

J3         GREECE

J4         GREENLAND

J5         GRENADA

J6         GUADELOUPE

J8         GUATEMALA

Y7        GUERNSEY

J9         GUINEA

S0        GUINEA-BISSAU

K0        GUYANA

K1        HAITI

K4        HEARD ISLAND AND MCDONALD ISLANDS

X4        HOLY SEE (VATICAN CITY STATE)

K2        HONDURAS

K3        HONG KONG

K5        HUNGARY

K6        ICELAND

K7        INDIA