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1 Month Worst

United States|Canada
English|French

1-Month Worst Funds

Sym Name Last Change Percent 1-Month
Percent
Last Update
SEOXX Sei Daily Income Trust Government Fund Class F 1.76 +0.01 +0.57% -23.81% 11/14/19
GFAXX Government Fund Class Caa 1.76 +0.01 +0.57% -23.81% 11/14/19
TFOXX Stit Tax-Free Cash Reserve Corp Cl 1.11 unch unch -21.28% 11/14/19
PEIXX Invesco Premier Tax-Exempt Portfolio Institution 1.18 unch unch -20.81% 11/14/19
ITTXX Invesco Premier Tax-Exempt Portfolio Investor Cl 1.18 unch unch -20.81% 11/14/19
RCCXX Columbia Government Money Market Fund Class C 1.07 unch unch -20.74% 11/14/19
TRCXX Stit Tax-Free Cash Reserve Portfolio Private Inv 1.12 +0.01 +0.90% -20.00% 11/14/19
TFPXX Invesco Tax-Free Cash Reserve Portfolio Institut 1.12 +0.01 +0.90% -20.00% 11/14/19
CLNXX Columbia Government Money Market Fund - Commissi 1.08 +0.01 +0.93% -20.00% 11/14/19
IDSXX Columbia Government Money Market Fund Class A 1.08 +0.01 +0.93% -20.00% 11/14/19
RVRXX Columbia Government Money Market Fund Class R 1.08 +0.01 +0.93% -20.00% 11/14/19
IDYXX Columbia Government Money Market Fund Class I 1.08 +0.01 +0.93% -20.00% 11/14/19
USEXX Usaa Mutual Fds TR Tax Exempt Money Market Fund 1.21 unch unch -19.95% 11/14/19
MIFXX Nationwide Government Money Market Fund Investor 1.20 -0.04 -3.23% -17.81% 11/13/19
NWSXX Nationwide Government Money Market Fund Service 1.02 -0.04 -3.77% -17.74% 11/13/19
CMRXX Columbia Government Money Market Fund Class I2 1.22 +0.01 +0.83% -17.57% 11/14/19
CGMXX Columbia Government Money Market Fund Class I3 1.27 +0.01 +0.79% -17.53% 11/14/19
GMIXX Nationwide Government Money Market Fund Class R6 1.29 -0.04 -3.01% -16.77% 11/13/19
JODIX Johcm US Small Mid Cap Equity Fund- Class I 11.33 unch unch -15.13% 10/10/19
ATNXX VOYA Government Money Market Fund Class I 1.58 -0.01 -0.63% -15.05% 11/08/19
IDMXX VOYA Government Money Market Fund Class O 1.58 -0.01 -0.63% -15.05% 11/08/19
IMCXX VOYA Government Money Market Fund Class C 1.58 -0.01 -0.63% -15.05% 11/08/19
JODMX Johcm US Small Mid Cap Equity Fund- Institutiona 11.38 unch unch -15.05% 10/10/19
IMWXX VOYA Government Money Market Fund Class W 1.58 -0.01 -0.63% -15.05% 11/08/19
AEMXX VOYA Government Money Market Fund Class A 1.58 -0.01 -0.63% -15.05% 11/08/19
AMCXX VOYA Government Money Market Fund Class L 1.58 -0.01 -0.63% -15.05% 11/08/19
FGDXX First American Mm Fds Gv Obligations Corp TR Cl 1.13 -0.01 -0.88% -15.04% 11/14/19
FAPXX Retail Prime Obligations Fund Class A 1.28 -0.01 -0.78% -14.67% 11/14/19
FODXX First American U.S. Treasury Money Market Fund C 1.13 -0.01 -0.88% -14.39% 11/14/19
MTOXX Milestone Treasury Obligations Fd Inv Cl 1.64 unch unch -14.14% 11/14/19
MTIXX Milestone Treasury Obligations Fd Inst Cl 1.64 unch unch -14.14% 11/14/19
UATXX Usaa Mutual Fds TR Treasury Money Market Trust 1.62 +0.01 +0.62% -13.88% 11/14/19
FGVXX First American Funds Institutional Government Fu 1.28 -0.01 -0.78% -13.51% 11/14/19
IVMXX VOYA Money Market Portfolio Initial 1.63 +0.01 +0.62% -13.30% 11/14/19
ISPXX VOYA Liquid Assets Portfolio Service 1.63 +0.01 +0.62% -13.30% 11/14/19
IPLXX VOYA Liquid Assets Portfolio Initial 1.63 +0.01 +0.62% -13.30% 11/14/19
ITLXX VOYA Liquid Assets Portfolio S2 1.63 +0.01 +0.62% -13.30% 11/14/19
FYRXX Retail Prime Obligations Fund Class Y 1.44 -0.01 -0.69% -13.25% 11/14/19
CNFXX City National Rochdale Government Money Market F 1.68 unch unch -12.95% 11/14/19
CNGXX City National Rochdale Government Money Market F 1.68 unch unch -12.95% 11/14/19
CNIXX City National Rochdale Government Money Market F 1.68 unch unch -12.95% 11/14/19
FTDXX First American Mm Fds Treas Obligations Corp TR 1.15 unch unch -12.88% 11/14/19
NVXCX Navigator Sentry Managed Volatility Fund Class C 1.09 unch unch -12.80% 11/13/19
NVXIX Navigator Sentry Managed Volatility Fund Class I 1.09 unch unch -12.80% 11/13/19
FFMXX Meeder Prime Money Market Fund 1.59 unch unch -12.68% 11/14/19
FAIXX First American Institutional Prime Obligations F 1.45 unch unch -12.65% 11/14/19
IAAXX Ivy Cash Management Fund Class A 1.33 -0.01 -0.75% -12.50% 11/14/19
FOYXX First American U.S. Treasury Money Market Fund C 1.28 -0.01 -0.78% -12.33% 11/14/19
FEIXX Retail Prime Obligations Fund Class T 1.50 unch unch -12.28% 11/14/19
FIUXX First American Institutional Prime Obligations F 1.50 unch unch -12.28% 11/14/19
Displaying Top 50 Results