TUIXX ETF

$1.00

Fund Essentials - as of Sep 30, 2025

Net Assets
$16.8B
Expense Ratio
1.00%
Dividend Yield (Current)
6.35%
Holdings
193
Inception Date
Nov 21, 2008
Fund Family
RBC Global Asset Management (US)
Investment Style
••••••••••
Asset Class
••••••••••
Legal Structure
••••••••••
Dividend Frequency
Monthly

Performance

YTD+0.44%
1 Year+6.48%
3 Year+4.83%
5 Year+3.06%
10 Year+1.69%

Asset Allocation

Bonds: 68.62%
Cash: 0.31%
Other: 31.08%

Top Holdings

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TickerNameWeight
-Td Securities Inc Repo 4.18 10/01/2025 4.18% 2025-10-014.07%
-Bank Of Montreal Repo 4.19 10/01/2025 4.190000%3.80%
-Goldman Sachs & Co. Llc Repo 4.19 10/01/2025 4.190000%2.98%
-Bank Of Montreal Repo 4.14 10/01/2025 4.140000%2.71%
-Wells Fargo Securities Llc Repo 4.21 10/01/2025 4.210000%2.71%
Top 10 Concentration: 25.77%Report Date: Sep 30, 2025
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Dividend Summary

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Dividend Yield (Current)
6.35%
Frequency
Monthly
Latest Distribution
$0.00
-

Peer Comparison

Benchmark
••••••••••
Outperforming by ••••%
Ranked #••• of •,••• funds
This ETF
+••.••%
Peer Avg
+••.••%
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TUIXX ETF Overview

TUIXX ETF (RBC BlueBay US Government Money Market Fund Investor Class) is managed by RBC Global Asset Management (US) with $16.83B in net assets. TUIXX expense ratio is 1.00%, holding 193 positions across sectors including Other, Financials, Unknown. Inception date: 2008-11-21.

TUIXX performance shows a YTD return of 0.44%. The 1-year return is 6.48% and the 5-year return is 3.06%. TUIXX dividend yield stands at 6.35%, paid monthly.

TUIXX top holdings include Td Securities Inc Repo 4.18 10/01/2025 4.18% 2025-10-01 (4.1%), Bank Of Montreal Repo 4.19 10/01/2025 4.190000% (3.8%), Goldman Sachs & Co. Llc Repo 4.19 10/01/2025 4.190000% (3.0%), Bank Of Montreal Repo 4.14 10/01/2025 4.140000% (2.7%), Wells Fargo Securities Llc Repo 4.21 10/01/2025 4.210000% (2.7%). View all TUIXX holdings, sector breakdown, or dividend history.

TUIXX can be compared against other funds using the overlap calculator or side-by-side comparison tool. TUIXX alternatives are available via the screener, along with tax-loss harvesting opportunities.

1 Month
+0.21%
YTD
+0.44%
1 Year
+6.48%
3 Year
+4.83%

Top 10 Holdings (25.8% of portfolio)

#TickerNameSectorWeight
1-Td Securities Inc Repo 4.18 10/01/2025 4.18% 2025-10-01Other4.07%
2-Bank Of Montreal Repo 4.19 10/01/2025 4.190000%Other3.80%
3-Goldman Sachs & Co. Llc Repo 4.19 10/01/2025 4.190000%Other2.98%
4-Bank Of Montreal Repo 4.14 10/01/2025 4.140000%Other2.71%
5-Wells Fargo Securities Llc Repo 4.21 10/01/2025 4.210000%Other2.71%
6-Wells Fargo Securities Llc Repo 4.15 10/06/2025 4.150000%Other2.71%
7-Citigroup Global Markets Inc Repo 4.2 10/01/2025 4.200000%Other1.90%
8TF 0 07/31/27Treasury Floating Rate Note 4.44% Jul 31, 2027Financials1.63%
9-National Australia Bank Ltd Repo 4.15 10/01/2025 4.150000%Other1.63%
10-Wells Fargo Securities Llc Repo 4.15 10/07/2025 4.150000%Other1.63%