Fixed Income Clearing Corporation (Ficc) - Ms, Repo, 3.640%, 7/1/2026
0.54%
51.6%
$1.00B
-
-
39
Debt
Treasury Bill Dec 24, 2026
0.52%
52.1%
$961.62M
-
-
40
Debt
United States Department
0.50%
52.6%
$935.90M
-
-
41
—
B 12/3/26 Govt
0.50%
53.1%
$923.69M
-
-
42
Debt
Treasury Bill6/10/2027
0.50%
53.6%
$924.95M
-
-
43
Debt
Treasury Bill9/22/2026
0.49%
54.1%
$907.36M
-
-
44
Debt
United States Treasury Bill 05/13/2027
0.47%
54.6%
$881.83M
-
-
45
Debt
U.S. Treasury Note, 4.25%, Due 11/30/2026Financials · Banks
0.44%
55.0%
$822.08M
Financials
Banks
46
Debt
Credit Agricole Corporate and Investment Bank, Repo, 1.580%, 2/3/2020
0.43%
55.4%
$800.00M
-
-
47
—
Federal Home Loan Banks 3.760000% 12/17/2026
0.42%
55.8%
$783.88M
-
-
48
—
Federal Home Loan Bank System 3.625% 2026-10-23
0.41%
56.3%
$771.79M
-
-
49
—
Federal Home Loan Bank System 3.625% 2026-10-23
0.40%
56.7%
$746.38M
-
-
50
—
Federal Home Loan Banks 3.640000% 3.64 2027-02-05
0.40%
57.1%
$745.92M
-
-
More holdings · Pro
Scroll for 34 more
Not reported for this fund: shares, share changes.
FundXLS Pro
See the other 140 holdings of GOFXX
X-ray every fund you own at once, ETFs and mutual funds that hold stocks directly, and see how much of your money lands on the same stocks twice.
Unlock FundXLS Pro$45/quarter Pro · Cancel anytime
GOFXX Mutual Fund All Holdings
GOFXX holdings total 229 positions. The top 10 holdings account for 23.3% of the fund, led by Fixed Income Clearing Corporation (Ficc) - Creditag, Repo, 3.650%, 7/1/2026 at 3.6%, Paribas Repo 2.24% 2022-09-01 at 3.5%, Fixed Income Clearing Corporation (Ficc) - Bnym, Repo, 4.810%, 4/3/2023 at 2.7%.
GOFXX portfolio concentration is well-diversified, with the top 10 representing 23.3% of total assets. The largest sector exposure is Financials at 7.1%.
GOFXX sectors provide a detailed breakdown. GOFXX overlap shows how holdings compare to other funds in your portfolio.