Institutional U.S. Government Securities Money Market

 Inst
CUSIP76628T249
TickerCRGXX
Share Class Inception8/1/1994
Exp Ratio0.19
7 Day Average Yield0.05
7 Day Effective Yield0.05
30 Day Average Yield0.05

Fund Resources

Printable Version Download Holding Data
Security CUSIP Shares Traded Market Value % of Holding ↓
STI PARIBAS GOVT REPO STIREPOMP 296,438,121 $296,438,121.20 14.55%
STI TREAS REPO (HSBC) STIREPOAH 235,206,497 $235,206,497.42 11.54%
GS FINANCIAL SQ GOVT MMK 38141W273 92,500,000 $92,500,000.00 4.54%
JP MORGAN US GOVT MMKT 4812C0670 92,500,000 $92,500,000.00 4.54%
FHLMC DN 08/23/10 313397C90 85,000,000 $84,984,983.33 4.17%
FNMA DN 07/12/10 313589ZF3 81,000,000 $80,993,601.67 3.97%
FHLB DN 7/14/10 313385ZH2 80,000,000 $79,996,695.83 3.92%
FHLB DN 8/20/10 313385C61 76,000,000 $75,987,763.89 3.73%
FHLB DN 8/25/10 313385D37 75,000,000 $74,985,104.16 3.68%
TI TREAS REPO (DRES) STIREPOTN 73,140,023 $73,140,023.07 3.59%
FHLB DN 8/27/10 313385D52 70,000,000 $69,984,483.34 3.43%
FNMA DN 7/16/10 313589ZK2 60,000,000 $59,995,750.00 2.94%
FNMA DN 07/07/10 313589ZA4 50,000,000 $49,998,750.00 2.45%
FHLMC DN 09/01/10 313397E23 50,000,000 $49,981,916.67 2.45%
FHLMC DN 07/02/10 313397YV7 45,000,000 $44,999,793.75 2.20%
FHLMC DN 7/8/10 313397ZB0 45,000,000 $44,998,600.00 2.20%
FHLMC DN 07/12/10 313397ZF1 43,000,000 $42,997,635.00 2.11%
FNMA DN 07/06/10 313589YZ0 42,000,000 $41,999,066.67 2.06%
FHLMC DN 8/30/10 313397D81 40,200,000 $40,190,524.66 1.97%
FHLMC DN 7/16/10 313397ZK0 32,700,000 $32,697,731.25 1.60%
FNMA DN 07/14/10 313589ZH9 32,000,000 $31,998,035.56 1.57%
STI BARCLAYS STIREPOMB 30,993,350 $30,993,350.24 1.52%
FNMA DN 09/01/10 313589E25 31,000,000 $30,993,059.45 1.52%
FHLB DN 7/21/10 313385ZQ2 27,500,000 $27,497,555.56 1.35%
FHLB 0.375% 10/08/10 3133XVBM2 25,000,000 $25,006,312.75 1.22%
FNMA VRN 07/13/10 31398AUW0 25,000,000 $24,999,488.37 1.22%
FHLMC DN 07/09/10 313397ZC8 25,000,000 $24,998,888.89 1.22%
FNMA DN 08/02/10 313589A45 25,000,000 $24,995,333.33 1.22%
FHLB DN 07/07/10 313385ZA7 20,000,000 $19,999,416.67 0.98%
FFCB VRN 11/17/10 31331GJ26 16,250,000 $16,249,369.09 0.79%
FANNIE MAE DN 07/19/10 313589ZN6 16,000,000 $15,998,000.00 0.78%
FHLB 0.5% 03/14/11 3133XX4G9 15,000,000 $15,000,000.00 0.73%
FHLB 0.55% 03/23/11 3133XXD79 15,000,000 $15,000,000.00 0.73%
FHLMC DN 07/29/10 313397ZY0 15,000,000 $14,997,783.33 0.73%
FHLMC DN 7/21/10 313397ZQ7 11,800,000 $11,798,885.56 0.57%
FHLB .40% 12/30/10 3133XWDA4 11,305,000 $11,302,464.13 0.55%
STI GOVT REPO (DEUT) STIREPOMD 10,535,793 $10,535,793.40 0.51%
FHLB DN 9/1/10 313385E28 10,000,000 $9,997,416.67 0.49%
STI GOVT REPO BOA STIREPOMS 6,355,784 $6,355,784.44 0.31%
STI MORTGAGE REPO-WARBURG STIREPOMW 3,500,489 $3,500,489.89 0.17%

As of 6/30/2010.
Holdings subject to change.

Portfolio holdings are subject to change daily without notice and may not represent current or future portfolio composition. The holdings presented above include those directly held by the Fund and exclude cash, cash equivalents, collateral held on behalf of the RidgeWorth Funds’ securities lending program, as well as certain other assets and liabilities. Unlike the fund’s regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, the information provided may differ from a fund’s holdings disclosed in its annual/semi-annual report and Form N-Q due to the exclusions noted above.

For information related to the Fund’s collateral investments and other items mentioned above, please refer to the most recent Form N-Q or the annual/semi-annual report. Forms N-Q are available on the SEC’s website at www.sec.gov.

  1. Value Equity
  2. Core Equity
  3. Growth Equity
  4. International & Alternative Equity
  5. Fixed Income (Taxable)
  6. Fixed Income (Tax Free)
  7. Money Market & Ultra-Short Bonds
  8. Asset Allocation
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