0000740123-22-000001.txt : 20220105
0000740123-22-000001.hdr.sgml : 20220105
20220105104252
ACCESSION NUMBER: 0000740123-22-000001
CONFORMED SUBMISSION TYPE: N-MFP2
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20211231
FILED AS OF DATE: 20220105
DATE AS OF CHANGE: 20220105
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: DREYFUS TAX EXEMPT CASH MANAGEMENT FUNDS
CENTRAL INDEX KEY: 0000740123
IRS NUMBER: 000000000
STATE OF INCORPORATION: NY
FISCAL YEAR END: 0131
FILING VALUES:
FORM TYPE: N-MFP2
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-03954
FILM NUMBER: 22509832
BUSINESS ADDRESS:
STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC.
STREET 2: 240 GREENWICH STREET
CITY: NEW YORK
STATE: NY
ZIP: 10286
BUSINESS PHONE: 2129226400
MAIL ADDRESS:
STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC.
STREET 2: 240 GREENWICH STREET
CITY: NEW YORK
STATE: NY
ZIP: 10286
FORMER COMPANY:
FORMER CONFORMED NAME: DREYFUS TAX EXEMPT CASH MANAGEMENT
DATE OF NAME CHANGE: 19920703
FORMER COMPANY:
FORMER CONFORMED NAME: DREYFUS TAX EXEMPT CASH MANAGEMENT INC
DATE OF NAME CHANGE: 19880425
FORMER COMPANY:
FORMER CONFORMED NAME: CORNWALL TAX EXEMPT MONEY MARKET FUND INC
DATE OF NAME CHANGE: 19850310
0000740123
S000000098
DREYFUS TAX EXEMPT CASH MANAGEMENT FUND
C000000161
DREYFUS TAX EXEMPT CASH MANAGEMENT - Institutional Shares
DEIXX
N-MFP2
1
primary_doc.xml
N-MFP2
0000740123
XXXXXXXX
2021-12-31
0000740123
S000000098
1
N
N
002-89275
BNY Mellon Investment Adviser, Inc.
801-08147
Ernst and Young LLP
New York
NY
none
BNY Mellon Transfer Inc
0001285911
084-06102
N
N
N
Other Tax Exempt
N
11
11
35414586.16
51626217.02
83271941.26
89413938.39
67217674.51
235916004.35
265296233.72
263586941.26
266228938.39
289527671.31
0.1158
0.1635
0.2616
0.2785
0.1959
0.7715
0.8403
0.8279
0.8293
0.8440
322674.51
342531033.45
342531033.45
187486.88
25525726.77
317515468.07
317546499.48
1.0000
0.0013
0.9999
0.9999
0.9999
0.9999
0.9999
C000000161
10000000.00
317515468.07
317546499.48
0.9999
0.9999
0.9999
0.9999
0.9999
24336670.55
44168798.83
30767749.95
20842452.01
38333732.89
35706141.44
46433968.83
43783878.11
29784539.03
33179487.82
169656661.21
177680758.21
0.0001
Y
BNY Mellon Investment Advisor Inc. The funds expenses are capped at 20 basis pts. The fund is also waiving expenses to maintain a minimum yield of .01. 52,132.56
ALASKA ST HSG FIN CORP
ALASKA ST HSG FIN CORP
0118327K2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-03
2022-01-01
2032-06-01
Y
FEDERAL HOME LOAN BANK
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0010
3940000.00
3940000.00
0.0124
N
N
N
N
- N/A -
CALIFORNIA ST HLTH FACS FING A
CALIFORNIA ST HLTH FACS FING A
13033LFJ1
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
Aa3
S&P RATING
A-1+
2022-01-07
2022-01-07
2040-10-01
Y
CAL HLTH FAC FING AUTH
0.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
Aa3
S&P RATING
A-1+
N
N
0.0009
2735000.00
2735000.00
0.0086
N
N
Y
N
- N/A -
CALIFORNIA ST STWD CMNTYS DEV
CALIFORNIA ST STWD CMNTYS DEV
1309116Y1
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-07
2022-01-07
2035-08-01
Y
US BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
US BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0000
6400000.00
6400000.00
0.0202
N
N
Y
N
- N/A -
CONNECTICUT ST HLTH & EDUCTNL
CONNECTICUT ST HLTH & EDUCTNL
20774YNE3
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-07
2022-01-07
2050-12-31
Y
CONNECTICUT ST HEALTH & EDL
0.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
N
N
0.0011
6475000.00
6475000.00
0.0204
N
N
Y
N
- N/A -
FLORIDA ST HSG FIN AGY
FLORIDA ST HSG FIN AGY
340737G25
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2022-12-01
Y
NORTHERN TRUST COMPANY
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
NORTHERN TRUST COMPANY
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0016
5000000.00
5000000.00
0.0157
N
N
Y
N
- N/A -
GULF COAST TX INDL DEV AUTH
GULF COAST TX INDL DEV AUTH
402207AD6
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-03
2022-01-01
2041-11-01
Y
EXXON MOBIL CORPORATION
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0009
1000000.00
1000000.00
0.0031
N
N
N
N
- N/A -
GULF COAST TX WST DISP AUTH
GULF COAST TX WST DISP AUTH
40222PAF9
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-03
2022-01-01
2030-06-01
Y
EXXON MOBIL CORPORATION
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0011
4600000.00
4600000.00
0.0145
N
N
N
N
- N/A -
GWINNETT CNTY GA DEV AUTH
GWINNETT CNTY GA DEV AUTH
403720CU7
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2033-10-01
Y
TRUIST BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
TRUIST BANK
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0019
2615000.00
2615000.00
0.0082
N
N
Y
N
- N/A -
HARRIS CNTY TX HSG FIN CORP
HARRIS CNTY TX HSG FIN CORP
41418XAN7
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-19
2022-01-19
2022-01-19
N
N
Y
BANK OF AMERICA NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0013
2349975.56
2349975.56
0.0074
N
N
N
N
- N/A -
HARRIS CNTY TX MET TRANSIT AUT
HARRIS CNTY TX MET TRANSIT AUT
41422BQ36
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-25
2022-01-25
2022-01-25
N
N
Y
STATE STREET BANK & TRST
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
0.0013
4000000.00
4000000.00
0.0126
N
N
N
N
- N/A -
HARRIS CNTY TX MET TRANSIT AUT
HARRIS CNTY TX MET TRANSIT AUT
41421S3F8
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-25
2022-01-25
2022-01-25
N
N
Y
JP MORGAN CHASE BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0013
2500000.00
2500000.00
0.0079
N
N
N
N
- N/A -
HILLSBOROUGH CNTY FL HSG FIN A
HILLSBOROUGH CNTY FL HSG FIN A
43232ECP2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2041-08-15
Y
TRUIST BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
TRUIST BANK
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0013
4585000.00
4585000.00
0.0144
N
N
Y
N
- N/A -
HOUSTON TX
HOUSTON TX
44239MPQ9
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-20
2022-01-20
2022-01-20
N
N
Y
WELLS FARGO BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0020
2299962.05
2299962.05
0.0072
N
N
N
N
- N/A -
HOUSTON TX
HOUSTON TX
44239MPS5
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-02-09
2022-02-09
2022-02-09
N
N
Y
WELLS FARGO BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0018
2999969.70
2999969.70
0.0094
N
N
N
N
- N/A -
ILLINOIS ST FIN AUTH REVENUE
ILLINOIS ST FIN AUTH REVENUE
45204FMU6
Other Municipal Security
Y
FITCH'S RATING
AAA
MOODY'S RATING
NR
S&P RATING
AAA
2022-01-03
2022-01-01
2022-01-01
N
N
N
0.0017
300000.00
300000.00
0.0009
N
Y
Y
N
- N/A -
INDIANA ST FIN AUTH REVENUE
INDIANA ST FIN AUTH REVENUE
45471AAS1
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-03
2022-01-01
2039-11-01
Y
WELLS FARGO BANK NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
WELLS FARGO BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0008
3925000.00
3925000.00
0.0124
N
N
N
N
- N/A -
INDIANA ST FIN AUTH REVENUE
INDIANA ST FIN AUTH REVENUE
45471ABR2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-03
2022-01-01
2039-11-01
Y
WELLS FARGO BANK NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
WELLS FARGO BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0008
6000000.00
6000000.00
0.0189
N
N
N
N
- N/A -
IOWA ST FIN AUTH HLTH FACS REV
IOWA ST FIN AUTH HLTH FACS REV
462466ET6
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-03
2022-01-01
2039-02-15
Y
TD BANK NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
TD BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0008
7935000.00
7935000.00
0.0250
N
N
N
N
- N/A -
JACKSON CNTY MS PORT FAC REVEN
JACKSON CNTY MS PORT FAC REVEN
467229AF7
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-03
2022-01-01
2023-06-01
Y
CHEVRON CORP
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0009
11855000.00
11855000.00
0.0373
N
N
N
N
- N/A -
LINCOLN NE ELEC SYS REVENUE
LINCOLN NE ELEC SYS REVENUE
53427TDE7
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1+
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-18
2022-01-18
2022-01-18
N
N
Y
JP MORGAN CHASE BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0011
2999970.30
2999970.30
0.0094
N
N
N
N
- N/A -
LOUISIANA ST PUBLIC FACS AUTH
LOUISIANA ST PUBLIC FACS AUTH
546398ZP6
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
A2
S&P RATING
A-1
2022-01-03
2022-01-01
2043-12-01
Y
AIR PRODUCTS & CHEMICALS
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0009
4000000.00
4000000.00
0.0126
N
N
N
N
- N/A -
LYNCHBURG VA ECON DEV AUTH HOS
LYNCHBURG VA ECON DEV AUTH HOS
55123TAW2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-07
2022-01-07
2047-01-01
Y
TRUIST BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
TRUIST BANK
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0019
4900000.00
4900000.00
0.0154
N
N
Y
N
- N/A -
MACON GA WTR AUTH
MACON GA WTR AUTH
555758HX2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
Aa1
S&P RATING
A-1+
2022-01-07
2022-01-07
2038-10-01
Y
MACON GA WTR AUTH
0.0000
7
N
FITCH'S RATING
NR
MOODY'S RATING
Aa1
S&P RATING
A-1+
N
N
0.0014
1640000.00
1640000.00
0.0052
N
N
Y
N
- N/A -
MARYLAND ST HLTH & HGR EDUCTNL
MARYLAND ST HLTH & HGR EDUCTNL
574217V28
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-03
2022-01-01
2041-07-01
Y
TD BANK NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
TD BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0008
3000000.00
3000000.00
0.0094
N
N
N
N
- N/A -
MET GOVT NASHVILLE & DAVIDSON
MET GOVT NASHVILLE & DAVIDSON
59211PFL4
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-06
2022-01-06
2022-01-06
N
N
Y
BANK OF AMERICA NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0011
3999993.60
3999993.60
0.0126
N
N
Y
N
- N/A -
MET TRANSPRTN AUTH NY REVENUE
MET TRANSPRTN AUTH NY REVENUE
59259N8Q9
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-03
2022-01-01
2031-11-01
Y
TD BANK NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
TD BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0007
9625000.00
9625000.00
0.0303
N
N
N
N
- N/A -
MIAMI-DADE CNTY FL INDL DEV AU
MIAMI-DADE CNTY FL INDL DEV AU
59333CAX5
Variable Rate Demand Note
Y
FITCH'S RATING
F1
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-03
2022-01-03
2046-05-01
Y
MIAMI-DADE FLA INDL DEV
0.0000
3
N
FITCH'S RATING
F1
MOODY'S RATING
VMIG-1
S&P RATING
A-1
N
N
0.0009
3200000.00
3200000.00
0.0101
N
N
N
N
- N/A -
MICHIGAN ST STRATEGIC FUND LTD
MICHIGAN ST STRATEGIC FUND LTD
594698JT0
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2026-01-01
Y
BANK OF NOVA SCOTIA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BANK OF NOVA SCOTIA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
4000000.00
4000000.00
0.0126
N
N
Y
N
- N/A -
MISSISSIPPI ST DEV BANK SPL OB
MISSISSIPPI ST DEV BANK SPL OB
60534RSH3
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-03
2022-01-01
2039-12-01
Y
CHEVRON CORP
1.0000
1
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0009
2065000.00
2065000.00
0.0065
N
N
N
N
- N/A -
MOBILE CNTY AL INDL DEV AUTH P
MOBILE CNTY AL INDL DEV AUTH P
60733RAA6
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2040-07-01
Y
SWEDBANK AB
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
SWEDBANK AB
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0016
8000000.00
8000000.00
0.0252
N
N
Y
N
- N/A -
MOBILE CNTY AL INDL DEV AUTH P
MOBILE CNTY AL INDL DEV AUTH P
607336AD6
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2040-07-01
Y
SWEDBANK AB
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
SWEDBANK AB
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0016
5000000.00
5000000.00
0.0157
N
N
Y
N
- N/A -
NEW LONDON CT
NEW LONDON CT
646513M73
Other Municipal Security
Y
FITCH'S RATING
F1+
MOODY'S RATING
NR
S&P RATING
SP-1+
2022-03-17
2022-03-17
2022-03-17
N
N
N
0.0012
5119868.07
5119868.07
0.0161
N
N
N
N
- N/A -
NEW YORK CITY NY HSG DEV CORP
NEW YORK CITY NY HSG DEV CORP
64966TAZ7
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2039-11-01
Y
CITIBANK NA
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
CITIBANK NA
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0009
5000000.00
5000000.00
0.0157
N
N
Y
N
- N/A -
NEW YORK CITY NY HSG DEV CORP
NEW YORK CITY NY HSG DEV CORP
64966TAF1
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2041-10-15
Y
FEDERAL NATIONAL MORTGAGE ASSOCIATION
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
FEDERAL NATIONAL MORTGAGE ASSOCIATION
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0010
3960000.00
3960000.00
0.0125
N
N
Y
N
- N/A -
NEW YORK CITY NY MUNI WTR FIN
NEW YORK CITY NY MUNI WTR FIN
64972FPP5
Variable Rate Demand Note
Y
FITCH'S RATING
F1+
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-03
2022-01-01
2033-06-15
Y
BANK OF AMERICA NA
1.0000
1
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0008
2300000.00
2300000.00
0.0072
N
N
N
N
- N/A -
NORTH CAROLINA ST CAPITAL FACS
NORTH CAROLINA ST CAPITAL FACS
65818PED7
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2030-08-01
Y
TRUIST BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
TRUIST BANK
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0019
6670000.00
6670000.00
0.0210
N
N
Y
N
- N/A -
OHIO ST HGR EDUCTNL FAC COMMIS
OHIO ST HGR EDUCTNL FAC COMMIS
67756FB75
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-03
2022-01-03
2022-01-03
N
N
N
0.0025
3150002.52
3150002.52
0.0099
N
Y
Y
N
- N/A -
OHIO ST HOSP REVENUE
OHIO ST HOSP REVENUE
67756CFJ2
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-07
2022-01-07
2050-12-31
Y
US BANK NA
0.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
US BANK NA
0.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0008
9000000.00
9000000.00
0.0283
N
N
Y
N
- N/A -
OMAHA NE PUBLIC PWR DIST ELEC
OMAHA NE PUBLIC PWR DIST ELEC
68179RXD9
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-18
2022-01-18
2022-01-18
N
N
N
0.0011
6999862.10
6999862.10
0.0220
N
N
N
N
- N/A -
OSCEOLA AR SOL WST DIST REVENU
OSCEOLA AR SOL WST DIST REVENU
688008AA9
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-07
2022-01-07
2036-04-01
Y
GOLDMAN SACHS BANK USA
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
GOLDMAN SACHS BANK USA
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0011
6855000.00
6855000.00
0.0216
N
N
Y
N
- N/A -
PAULDING CNTY GA HOSP AUTH
PAULDING CNTY GA HOSP AUTH
703596DK9
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1
2022-01-07
2022-01-07
2043-04-01
Y
BANK OF AMERICA NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BANK OF AMERICA NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0010
4800000.00
4800000.00
0.0151
N
N
Y
N
- N/A -
PORT OF SEATTLE WA REVENUE
PORT OF SEATTLE WA REVENUE
73538YWV1
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1
2022-02-07
2022-02-07
2022-02-07
N
Y
BANK OF AMERICA NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0012
4154870.36
4154870.36
0.0131
N
N
N
N
- N/A -
RBC MUNI PRODUCTS INC TRUST
RBC MUNI PRODUCTS INC TRUST
74934RQJ8
Tender Option Bond
Y
FITCH'S RATING
F1+
MOODY'S RATING
NR
S&P RATING
NR
2022-01-07
2022-01-07
2039-09-01
Y
ROYAL BANK OF CANADA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
ROYAL BANK OF CANADA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0016
14000000.00
14000000.00
0.0441
N
N
Y
N
- N/A -
RBC MUNI PRODUCTS INC TRUST
RBC MUNI PRODUCTS INC TRUST
74926Y5L1
Tender Option Bond
Y
FITCH'S RATING
F1+
MOODY'S RATING
NR
S&P RATING
NR
2022-01-07
2022-01-07
2022-10-03
Y
ROYAL BANK OF CANADA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
ROYAL BANK OF CANADA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0015
10000000.00
10000000.00
0.0315
N
N
Y
N
- N/A -
RIB FLOATER TRUST
RIB FLOATER TRUST
76252PKS7
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2050-12-31
Y
BARCLAYS BANK PLC
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BARCLAYS BANK PLC
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
2000000.00
2000000.00
0.0063
N
N
Y
N
- N/A -
SAINT LOUIS MO INDL DEV AUTH T
SAINT LOUIS MO INDL DEV AUTH T
791900FN8
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2047-06-01
Y
FEDERAL HOME LOAN MORTGAGE CORPORATION
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
FEDERAL HOME LOAN MORTGAGE CORPORATION
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0015
1430000.00
1430000.00
0.0045
N
N
Y
N
- N/A -
SAN ANTONIO TX WTR REVENUE
SAN ANTONIO TX WTR REVENUE
79643WBJ4
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-01-19
2022-01-19
2022-01-19
N
N
Y
JP MORGAN CHASE BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0014
4999948.00
4999948.00
0.0157
N
N
N
N
- N/A -
SOUTH CAROLINA ST JOBS-ECON DE
SOUTH CAROLINA ST JOBS-ECON DE
837031QQ9
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2029-05-01
Y
WELLS FARGO BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
WELLS FARGO BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
2180000.00
2180000.00
0.0069
N
N
Y
N
- N/A -
SOUTH CAROLINA ST JOBS-ECON DE
SOUTH CAROLINA ST JOBS-ECON DE
837031QS5
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2038-12-01
Y
TRUIST BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
TRUIST BANK
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0011
3550000.00
3550000.00
0.0112
N
N
Y
N
- N/A -
SPRINGFIELD MO INDL DEV AUTH
SPRINGFIELD MO INDL DEV AUTH
851007AR5
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2033-12-01
Y
FEDERAL HOME LOAN BANK
1.0000
7
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
FEDERAL HOME LOAN BANK
1.0000
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0019
1310000.00
1310000.00
0.0041
N
N
Y
N
- N/A -
SPRINGFIELD MO INDL DEV AUTH
SPRINGFIELD MO INDL DEV AUTH
851007AU8
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2034-12-01
Y
US BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
Y
US BANK NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
0.0016
3715000.00
3715000.00
0.0117
N
N
Y
N
- N/A -
STAMFORD CT
STAMFORD CT
852634SK1
Other Municipal Security
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
AAA
2022-02-01
2022-02-01
2022-02-01
N
N
N
0.0014
401159.72
401159.72
0.0013
N
N
N
N
- N/A -
SUNSHINE
SUNSHINE
86802SBK2
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
2022-02-09
2022-02-09
2022-02-09
N
N
Y
JP MORGAN CHASE BANK NA
Liquidity Support
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
0.0012
8999703.90
8999703.90
0.0283
N
N
N
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034WYY4
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2028-04-01
Y
JP MORGAN CHASE BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0016
2670000.00
2670000.00
0.0084
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034WYW8
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2028-04-01
Y
JP MORGAN CHASE BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0016
2670000.00
2670000.00
0.0084
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034W8E7
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2045-06-01
Y
BARCLAYS BANK PLC
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BARCLAYS BANK PLC
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
5320000.00
5320000.00
0.0168
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034W8M9
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2045-06-01
Y
BARCLAYS BANK PLC
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BARCLAYS BANK PLC
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
2250000.00
2250000.00
0.0071
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88033SGA6
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2050-12-31
Y
TORONTO-DOMINION BANK
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0015
4875000.00
4875000.00
0.0154
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NSN5
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2024-08-15
Y
CREDIT SUISSE AG
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0014
4585000.00
4585000.00
0.0144
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NUR3
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1+
2022-01-07
2022-01-07
2039-02-15
Y
TORONTO-DOMINION BANK
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0014
3520000.00
3520000.00
0.0111
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NZW7
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2046-05-01
Y
BANK OF AMERICA NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0015
4080000.00
4080000.00
0.0128
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034RW84
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2026-06-01
Y
JP MORGAN CHASE BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0014
2335000.00
2335000.00
0.0074
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034R8U2
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2044-01-01
Y
BANK OF AMERICA NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BANK OF AMERICA NA
1.0000
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0015
3930000.00
3930000.00
0.0124
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034WFM1
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2050-06-15
Y
BARCLAYS BANK PLC
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
Y
BARCLAYS BANK PLC
1.0000
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
0.0014
3095000.00
3095000.00
0.0097
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034YU24
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2047-09-01
Y
MORGAN STANLEY BANK
0.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0013
5000000.00
5000000.00
0.0157
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034YT67
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2047-09-01
Y
MORGAN STANLEY BANK
0.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0013
5000000.00
5000000.00
0.0157
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034WUE2
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2040-06-01
Y
WELLS FARGO BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0013
5300000.00
5300000.00
0.0167
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NCF9
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2048-06-01
Y
BANK OF AMERICA NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0019
3615000.00
3615000.00
0.0114
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NKH6
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2048-10-01
Y
MORGAN STANLEY BANK
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0013
4820000.00
4820000.00
0.0152
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NCC6
Tender Option Bond
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
NR
2022-01-07
2022-01-07
2040-11-01
Y
ROYAL BANK OF CANADA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0015
10500000.00
10500000.00
0.0331
N
N
Y
N
- N/A -
TENDER OPTION BOND TRUST RECEI
TENDER OPTION BOND TRUST RECEI
88034NBY9
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
NR
S&P RATING
A-1
2022-01-07
2022-01-07
2036-07-01
Y
CITIBANK NA
1.0000
7
N
FITCH'S RATING
F1
MOODY'S RATING
P-1
S&P RATING
A-1
N
N
0.0013
2600000.00
2600000.00
0.0082
N
N
Y
N
- N/A -
TENNESSEE ST
TENNESSEE ST
88055EBV9
Non-Financial Company Commercial Paper
Y
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
2022-04-13
2022-04-13
2022-04-13
N
Y
TENN. CONS RETIREMENT SYSTEM
1.0000
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
NR
N
0.0013
5499689.80
5499689.80
0.0173
N
N
N
N
- N/A -
TEXAS ST
TEXAS ST
882724SZ1
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-07
2022-01-07
2050-12-31
Y
FEDERAL HOME LOAN BANK
1.0000
7
N
FITCH'S RATING
NR
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0012
13400000.00
13400000.00
0.0422
N
N
Y
N
- N/A -
UNIV OF NEW MEXICO NM
UNIV OF NEW MEXICO NM
914692XM5
Variable Rate Demand Note
Y
FITCH'S RATING
NR
MOODY'S RATING
VMIG-1
S&P RATING
A-1+
2022-01-07
2022-01-07
2026-06-01
Y
US BANK NA
1.0000
7
N
FITCH'S RATING
F1+
MOODY'S RATING
P-1
S&P RATING
A-1+
N
N
0.0009
2925000.00
2925000.00
0.0092
N
N
Y
N
- N/A -
Dreyfus Tax Exempt Cash Management Funds
2022-01-05
/S/Robert Svagna
Robert Svagna
Treasury Manager