Liquidity Assessment For NAN
| Days To Liquidate | SEC Category | % Of Fund Value | Value |
|---|---|---|---|
| 0-3 Days | Highly Liquid | $386,336,672.85 | |
| 3-7 Days | Moderately Liquid | $32,789,167.70 | |
| 3-7 Days (Settle Later) | Less Liquid | $18,486,792.38 | |
| 7+ Days | Illiquid | $103,152,821.07 |
| CUSIP | Name | Amount Owned | Other Fund`s Capacity To Buy | Traded Last 30 Days | % Of Fund | High | Mod | Less | Illiquid | Maturity | Coupon | BV Credit Score | Drilldown |
|---|
| CUSIP | Name | Amount Owned | % Of Fund | Coupon | Maturity |
|---|