$ASULF
State Street USD Liquidity LVNAV Fund
In order to achieve its investment objective, the Fund invests in a range of investment grade fixed and adjustable rate money market instruments which are transferable securities and primarily denominated in U.S. Dollar. These instruments pay a rate of interest to the Fund. This rate of interest is the Fund's only source of return.
US Treasury Debt
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Learn more about this asset directly from the issuer's website.

Net Asset Value

$1.00

Management Fee

0.10%

Key Facts

Name
State Street USD Liquidity LVNAV Fund
Ticker
ASULF
CUSIP
ISIN
IE00BBT33N09
Protocol
Manager
State Street Global Advisors
Asset Class
Underlying Assets
Eligible Investors
Inception Date
02/14/2014
Use Of Income
Distributes
Management Fees
0.10%
Performance Fees
0%

Market Data

Total Value
NAV
$1.00
Price
Token Supply
Circulating Supply
Yield to Maturity
Holders
Monthly Active Addresses
Monthly Transfer Count
Monthly Transfer Volume

Primary Market

Eligible Investors
Base Assets
USD
Subscription Time
Invalid Date
Min. Investment
5,000 USD
Subscription Fees
0%
Redemption Time
Invalid Date
Minimum Redemption Amount
5,000 USD
Redemption Fees
0%

Service Providers

Protocol
Manager
State Street Global Advisors
Sub-Advisor

Custodian

Legal Identifier

Crypto Custodian
Fund Administrator
State Street
Traditional Broker
Archax iconArchax
Crypto Broker
Auditor
PwC
Transfer Agent
State Street
Paying Agent

Legal & Regulatory

Issuer
State Street Global Advisors
Issuer LEI
Issuer CIK
Domicile
License or Regulatory Framework

MiFID II

CSSF - Commission de Surveillance du Secteur Financier

Dispute Resolution Country

Ireland

Account Segregation
Bankruptcy Remote
Deposit Insurance
Management Fees
0.10%
Performance Fees
0%
Other Fees
Archax Fee (20 bps)
Redemption Fees
0%
Subscription Fees
0%