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- Ticker
- Total Fund Assets ($)Total assets managed by the fund, inclusive of all share classes.
- NAV ($)Net asset value (NAV) represents a fund's per share market value.
- 1 Day NAV Change ($)Change in net asset value (NAV) from the previous trading day.
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- Inception DateInception date of the fund's oldest share class.
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The Portfolio seeks to maximize current income to the extent consistent with the preservation of capital and maintenance of liquidity by investing its net assets, under normal conditions, exclusively in U.S. Treasury securities.
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Please carefully read the prospectus and summary prospectus and consider the investment objectives, risks, charges and expenses of Northern Institutional Funds carefully before investing. Call 800-637-1380 to obtain a prospectus and summary prospectus, which contain this and other information about the Funds.
Not FDIC insured | May lose value | No bank guarantee
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