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9 Month Worst

United States|Canada
English|French

9-Month Worst Funds

Sym Name Last Change Percent 9-Month
Percent
Last Update
FTAXX First American Retail Tax Free Obligations Fund 0.16 +0.01 +6.67% -88.73% 01/27/20
IACXX Ivy Cash Management Fund Class C 0.27 unch unch -74.29% 01/27/20
FFCXX First American Retail Tax Free Obligations Fund 0.46 +0.01 +2.22% -73.26% 01/27/20
FHIXX First American Retail Tax Free Obligations Fund 0.61 +0.01 +1.67% -67.38% 01/27/20
IABXX Ivy Cash Management Fund Class B 0.42 unch unch -65.29% 01/27/20
FTZXX First American Retail Tax Free Obligations Fund 0.71 +0.01 +1.43% -63.96% 01/27/20
WRCXX Ivy Government Money Market Fund Class C 0.26 unch unch -62.86% 01/27/20
WRBXX Ivy Government Money Market Fund Class B 0.29 unch unch -62.82% 01/27/20
TFPXX Invesco Tax-Free Cash Reserve Portfolio Institut 0.85 +0.01 +1.19% -61.01% 01/27/20
TRCXX Stit Tax-Free Cash Reserve Portfolio Private Inv 0.85 +0.01 +1.19% -61.01% 01/27/20
TFOXX Stit Tax-Free Cash Reserve Corp Cl 0.85 +0.01 +1.19% -60.83% 01/27/20
ITTXX Invesco Premier Tax-Exempt Portfolio Investor Cl 0.93 unch unch -58.11% 01/27/20
PEIXX Invesco Premier Tax-Exempt Portfolio Institution 0.93 unch unch -58.11% 01/27/20
FOEXX First American U.S. Treasury Money Market Fund C 0.84 unch unch -50.59% 01/27/20
FAAXX First American Government Obligations Fund Retai 0.88 unch unch -49.43% 01/27/20
FATXX First American Treasury Obligations Fund Class A 0.89 unch unch -48.55% 01/27/20
NWSXX Nationwide Government Money Market Fund Service 0.91 -0.01 -1.09% -47.70% 01/22/20
FODXX First American U.S. Treasury Money Market Fund C 0.99 unch unch -46.49% 01/27/20
NCGXX North Capital Treasury Money Market Fund Institu 0.98 unch unch -39.51% 01/27/20
USEXX Usaa Mutual Fds TR Tax Exempt Money Market Fund 0.98 +0.02 +2.08% -33.79% 01/27/20
NVXAX Navigator Sentry Managed Volatility Fund Class A 0.86 +0.02 +2.38% -30.77% 01/24/20
NVXIX Navigator Sentry Managed Volatility Fund Class I 0.88 +0.02 +2.33% -30.53% 01/24/20
NVXCX Navigator Sentry Managed Volatility Fund Class C 0.88 +0.02 +2.33% -30.53% 01/24/20