Schwab® Government Money Market ETF
Summary
Objective
The Fund’s goal is to seek current income consistent with capital preservation while maintaining liquidity.
Highlights
- The Government Money Market ETF seeks current income consistent with capital preservation while maintaining liquidity.
- To pursue its goal, the fund invests in U.S. Treasury bills and notes, other obligations that are issued by the U.S. government, its agencies or instrumentalities including obligations that are not fully guaranteed by the U.S. Treasury.
- A fully transparent actively managed ETF and benefits from extensive credit research and professional money management.
Fund Details
Quote Details
- Today's Opening Value--
- Today's Volume (shares)19,415
- Previous Close Value--
- 30-Day Median Bid/Ask Spread0.01%06/11/2025 - 07/11/2025
- Bid/Ask Midpoint$100.21As of 07/11/2025
- Premium/Discount0.03%As of 07/11/2025
Fund Profile
Fund Inception | 06/12/2025 | |
---|---|---|
Total Net Assets As of 07/11/2025
|
07/11/2025 | $32,064,877.52 |
Total Expense Ratio | 0.280% | |
Shares Outstanding As of 07/11/2025
|
07/11/2025 | 320,000 |
Daily Net Shareholder Flows^ | $0.00 | |
Daily Liquid Assets^ | 63.43% | |
Weekly Liquid Assets^ | 95.04% | |
NAV As of 07/11/2025
|
07/11/2025 | $100.20 |
Management Style | Active | |
Morningstar Category | Money Market-Taxable | |
Product Type | Government | |
CUSIP | 808524581 | |
Exchange | NYSE Arca, Inc. |
The regulatory requirement to maintain Daily Liquid Assets does not apply to tax-exempt money market funds.
For further information on Net Shareholder Flows, Liquid Assets, and Market-Based NAV, please visit our Data Point Definitions & Glossary
Yields
Distribution Yield (TTM) | -- | |
---|---|---|
Average Yield to Maturity | -- | |
7-Day Yield (with waivers) As of 07/11/2025
|
07/11/2025 | 4.05% |
7-Day Yield (without waivers) As of 07/11/2025
|
07/11/2025 | 4.05% |
The 7-Day Yield is the average income paid out over the previous seven days assuming interest income is not reinvested and it reflects the effect of all applicable waivers. Absent such waivers, the fund’s yield would have been lower. The 7-Day Yield (without waivers) is the yield without the effect of all applicable waivers. Schwab Government Money Market ETF is not subject to any contractual, or voluntary fee waivers.
Fund Characteristics
Weighted Average Maturity As of 07/11/2025
|
07/11/2025 | 27.90 days |
---|---|---|
Weighted Average Life As of 07/11/2025
|
07/11/2025 | 38.38 days |
Performance
Total Return
Monthly
-
SGVT Market Price
Cumulative Returns (%)
- 1 Month
- --
- 3 Month
- --
- YTD
- --
Annualized Returns (%)
- 1 Year
- --
- 3 Year
- --
- 5 Year
- --
- 10 Year
- --
- Inception
- +0.22
-
SGVT NAV
Cumulative Returns (%)
- 1 Month
- --
- 3 Month
- --
- YTD
- --
Annualized Returns (%)
- 1 Year
- --
- 3 Year
- --
- 5 Year
- --
- 10 Year
- --
- Inception
- +0.21
Description | Cumulative Returns (%) | Annualized Returns (%) | |||||||
---|---|---|---|---|---|---|---|---|---|
1 Month | 3 Month | YTD | 1 Year | 3 Year | 5 Year | 10 Year | Inception | ||
SGVT Market Price | -- | -- | -- | -- | -- | -- | -- | +0.22 | |
SGVT NAV | -- | -- | -- | -- | -- | -- | -- | +0.21 |
Annualized returns for periods 1 yr+/cumulative returns for periods less than 1 yr.
Performance data quoted represents past performance and is no guarantee of future results. Investment returns and principal value will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted.
Quarterly
-
SGVT Market Price
Average Annual Returns (%)
- 1 Year
- --
- 3 Year
- --
- 5 Year
- --
- 10 Year
- --
- Inception
- +0.22
-
SGVT NAV
Average Annual Returns (%)
- 1 Year
- --
- 3 Year
- --
- 5 Year
- --
- 10 Year
- --
- Inception
- +0.21
Description | Average Annual Returns (%) | |||||
---|---|---|---|---|---|---|
1 Year | 3 Year | 5 Year | 10 Year | Inception | ||
SGVT Market Price | -- | -- | -- | -- | +0.22 | |
SGVT NAV | -- | -- | -- | -- | +0.21 |
Annualized returns for periods 1 yr+/cumulative returns for periods less than 1 yr.
Performance data quoted represents past performance and is no guarantee of future results. Investment returns and principal value will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted.
Price Performance
Premium/Discount
-
Days traded at Premium
- ITD
- --
- 2025 Q1
- --
- 2025 Q2
- --
-
Days traded at Discount
- ITD
- --
- 2025 Q1
- --
- 2025 Q2
- --
ITD | 2025 Q1 | 2025 Q2 | ||
---|---|---|---|---|
Days traded at Premium | -- | -- | -- | |
Days traded at Discount | -- | -- | -- |
Portfolio
Top Holdings
-
CITI
- Name
- TRI-PARTY CITIGROUP GLOBAL MARKETS
- Percent of Assets (%)
- 14.98%
- Market Value
- $3.5M
-
WFS
- Name
- TRI-PARTY WELLS FARGO SECURITIES L
- Percent of Assets (%)
- 14.97%
- Market Value
- $3.5M
-
WELLS
- Name
- TRI-PARTY WELLS FARGO BANK NA
- Percent of Assets (%)
- 8.68%
- Market Value
- $2.0M
-
WELLS
- Name
- TRI-PARTY WELLS FARGO BANK NA
- Percent of Assets (%)
- 6.29%
- Market Value
- $1.5M
-
SMBCN
- Name
- TRI-PARTY SMBC NIKKO SECURITIES AM
- Percent of Assets (%)
- 5.21%
- Market Value
- $1.2M
-
TBILL
- Name
- TREASURY BILL
- Percent of Assets (%)
- 3.15%
- Market Value
- $725.4K
-
TBILL
- Name
- TREASURY BILL
- Percent of Assets (%)
- 3.09%
- Market Value
- $712.1K
-
TNOTE
- Name
- TREASURY NOTE
- Percent of Assets (%)
- 1.47%
- Market Value
- $339.8K
-
TFRN
- Name
- TREASURY FLOATING RATE NOTE
- Percent of Assets (%)
- 1.19%
- Market Value
- $275.0K
-
FFCB
- Name
- FFCB
- Percent of Assets (%)
- 1.08%
- Market Value
- $248.8K
Symbol | Name | Percent of Assets (%) | Market Value | ||
---|---|---|---|---|---|
CITI | TRI-PARTY CITIGROUP GLOBAL MARKETS | 14.98%
|
$3.5M | ||
WFS | TRI-PARTY WELLS FARGO SECURITIES L | 14.97%
|
$3.5M | ||
WELLS | TRI-PARTY WELLS FARGO BANK NA | 8.68%
|
$2.0M | ||
WELLS | TRI-PARTY WELLS FARGO BANK NA | 6.29%
|
$1.5M | ||
SMBCN | TRI-PARTY SMBC NIKKO SECURITIES AM | 5.21%
|
$1.2M | ||
TBILL | TREASURY BILL | 3.15%
|
$725.4K | ||
TBILL | TREASURY BILL | 3.09%
|
$712.1K | ||
TNOTE | TREASURY NOTE | 1.47%
|
$339.8K | ||
TFRN | TREASURY FLOATING RATE NOTE | 1.19%
|
$275.0K | ||
FFCB | FFCB | 1.08%
|
$248.8K |
Security Types
Security Types | Percent of Portfolio (%) |
---|
Maturity Breakdown
Maturity | Bonds (%) |
---|
Distributions
Distributions
-
Ex-Date: 07/01/2025
- Record Date
- 07/01/2025
- Payable Date
- 07/08/2025
- Income
- 0.1320
- Short Term Capital Gain
- 0.0000
- Long Term Capital Gain
- 0.0000
- Return of Capital
- --
- Total Distribution
- 0.132000000
Ex-Date | Record Date | Payable Date | Income | Short Term Capital Gain | Long Term Capital Gain | Return of Capital | Total Distribution | ||
---|---|---|---|---|---|---|---|---|---|
07/01/2025 | 07/01/2025 | 07/08/2025 | 0.1320 | 0.0000 | 0.0000 | -- | 0.132000000 |
Distributions per share may be less than $0.0001.
NAV
Price and NAV
-
2025-07-10
- Price
- $100.21
- NAV
- $100.1821
-
2025-07-09
- Price
- $100.18
- NAV
- $100.1736
-
2025-07-08
- Price
- $100.17
- NAV
- $100.1620
-
2025-07-07
- Price
- $100.14
- NAV
- $100.1503
-
2025-07-03
- Price
- $100.13
- NAV
- $100.1326
-
2025-07-02
- Price
- $100.11
- NAV
- $100.1000
-
2025-07-01
- Price
- $100.09
- NAV
- $100.0885
-
2025-06-30
- Price
- $100.21
- NAV
- $100.2109
-
2025-06-27
- Price
- $100.20
- NAV
- $100.1909
-
2025-06-26
- Price
- $100.17
- NAV
- $100.1631
-
2025-06-25
- Price
- $100.16
- NAV
- $100.1542
-
2025-06-24
- Price
- $100.15
- NAV
- $100.1429
-
2025-06-23
- Price
- $100.14
- NAV
- $100.1288
-
2025-06-20
- Price
- $100.11
- NAV
- $100.1021
-
2025-06-18
- Price
- $100.07
- NAV
- $100.0749
-
2025-06-17
- Price
- $100.06
- NAV
- $100.0591
-
2025-06-16
- Price
- $100.04
- NAV
- $100.0499
-
2025-06-13
- Price
- $100.03
- NAV
- $100.0263
-
2025-06-12
- Price
- $100.01
- NAV
- $100.0025
Date | Price | NAV | ||
---|---|---|---|---|
2025-07-10 | $100.21 | $100.1821 | ||
2025-07-09 | $100.18 | $100.1736 | ||
2025-07-08 | $100.17 | $100.1620 | ||
2025-07-07 | $100.14 | $100.1503 | ||
2025-07-03 | $100.13 | $100.1326 | ||
2025-07-02 | $100.11 | $100.1000 | ||
2025-07-01 | $100.09 | $100.0885 | ||
2025-06-30 | $100.21 | $100.2109 | ||
2025-06-27 | $100.20 | $100.1909 | ||
2025-06-26 | $100.17 | $100.1631 | ||
2025-06-25 | $100.16 | $100.1542 | ||
2025-06-24 | $100.15 | $100.1429 | ||
2025-06-23 | $100.14 | $100.1288 | ||
2025-06-20 | $100.11 | $100.1021 | ||
2025-06-18 | $100.07 | $100.0749 | ||
2025-06-17 | $100.06 | $100.0591 | ||
2025-06-16 | $100.04 | $100.0499 | ||
2025-06-13 | $100.03 | $100.0263 | ||
2025-06-12 | $100.01 | $100.0025 |
The Transaction NAV is calculated using the amortized cost method of accounting to value fund securities. The value shown here is rounded to two decimal places. Transaction NAV is used when calculating net asset value for all Fund share transactions.
The Market-Based NAV is calculated using current market quotes (or an appropriate substitute that reflects current market conditions) to value fund securities, and is shown out to four decimal places. The Fund does not currently transact using its Market-Based NAV.
Liquidity
Percent Daily Liquid Assets
Measure of a money market fund's ability to meet shareholder redemptions, stated as a percentage of total money market fund assets, and calculated for one business day.
Percent Weekly Liquid Assets
Measure of a money market fund's ability to meet shareholder redemptions, stated as a percentage of total money market fund assets, and calculated over the course of five business days.
Under money market fund regulations, a taxable money market fund may not acquire any security other than a "daily liquid asset" unless, immediately following such purchase, at least 25% of its total assets would be invested in daily liquid assets and no money market fund may acquire any security other than a "weekly liquid asset" unless, immediately following such purchase, at least 50% of its total assets would be invested in weekly liquid assets. "Daily liquid assets" include (i) cash; (ii) direct obligations of the U.S. Government; and (iii) securities that will mature or are subject to a demand feature that is exercisable and payable within one business day. "Weekly liquid assets" include (i) cash; (ii) direct obligations of the U.S. Government; (iii) Government securities issued by a person controlled or supervised by and acting as an instrumentality of the Government of the United States pursuant to authority granted by the Congress of the United States, that are issued at a discount to the principal amount to be repaid at maturity and have a remaining maturity of 60 days or less; and (iv) securities that will mature or are subject to a demand feature that is exercisable and payable within five business days.
The regulatory requirement to maintain Daily Liquid Assets does not apply to tax-exempt money market funds.
Net Flows
Daily Net Shareholder Flows
Net Shareholder Flows refers to the amount of cash flowing into or out of the fund.
Inflows and Outflows may reflect trade cancellations and adjusted dividend reinvestments, which may cause these numbers to be negative or positive.