AAII Mutual Fund Summary Report for OBIL

Fund Evaluator:

F/m US Treasury 12 Month Bill ETF (OBIL) Follow This Fund
Fixed Income
Global Asset Class
Taxable Bond
Fund Group
Short Government
Category
$0.000
NAV (as of )
$0.00
Minimum Initial
0.15% D
Expense Ratio
$309 Mil
Assets
Open
Status
na
12b-1 Fee
3.93%
TTM Yield
0.00%
Max Load
na
Portfolio Turnover

Best Performing in Short Government Over the Last Year

2.5% Vanguard ST Govt Securities Active Adm (VSGDX)
2.4% Vanguard Short-Term Treasury Idx Admiral (VSBSX)
2.4% Vanguard ST Govt Securities Active Inv (VSGBX)
2.2% Vanguard Short-Term Treasury Adm (VFIRX)
2.1% Vanguard Short-Term Treasury Inv (VFISX)
Data as of 8/31/2026
0.3% B
1-Mo Return
0.8% A
3-Mo Return
2.0% A
YTD Return
3.4% A
1-Yr Return
4.4% B
3-Yr Return
na
5-Yr Return
0.36 A
Category Risk Index
0.05
Total Risk Index

Fund Details

Fund Family
F/m Investments LLC

Inception Date
11/14/2022

Share Class Type

Equity Investment Style
na

Bond Investment Style
na

Socially Responsible Fund
No

Index Fund
Yes

Benchmark Index
ICE BofA US 1-Y Trsy Bill TR LOC: 100%

Additional Fund Details


F/m US Treasury 12 Month Bill ETF Overview


OBIL Trailing NAV Total Returns Data as of 8/31/26

Last
Month
Last
Quarter
Ann'l.
1Yr
Ann'l.
3Yr
Ann'l.
5Yr
Ann'l.
10Yr
OBIL Return (NAV) 0.3% 0.8% 3.4% 4.4% na na
OBIL Grade B A A B na na
+/- Category 0.0% 0.5% 1.2% 0.3% na na
Short Government Avg 0.2% 0.2% 2.2% 4.2% 1.6% 1.5%
OBIL Tax Cost Ratio na na 1.6% 1.8% na na

OBIL Annual NAV Total ReturnsData as of 8/31/26

2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
OBIL Return (NAV) 2.0% 4.3% 4.9% 4.7% na na na na na na na
OBIL Grade A F B B na na na na na na na
+/- Category 1.1% -1.2% 1.0% 0.7% na na na na na na na
Short Government Avg 0.8% 5.4% 3.8% 4.0% -4.8% -1.1% 3.2% 3.2% 1.2% 0.5% 0.7%
Risk Measures
Standard Deviation: 0.6%
Total Risk Index: 0.05 - Low
Category Risk Index: 0.36 - Low
Category Risk Grade: A (7% Rank)
Beta: 0.07
R-Squared: 49%
Leveraged Fund: No
Inverse Fund: No
Portfolio Characteristics
Equity Investment Style: na
Bond Investment Style: na
Yield: 3.9%
Dividend Distribution: Monthly
Cap Gains Distribution: Annually
Total Assets: $309 Mil
Fund Total Assets: $ 310 Mil
Share Class Type:
Portfolio Turnover: na

Management Team

Number of Managers: 3
Longest Tenure: 3.8 years
Average Tenure: 3.8 years
Managers (Year): Baden Peter (2022), Morris Alexander (2022), Zdunek Marcin (2022)

Portfolio Composition (as of 8/31/26)

# of Holdings: 3
% in Top 10 Holdings: 100.0%
Fund is Non-Diversified: No
% in Foreign Issues: 0.0%
 

Portfolio Allocation

Domestic Stock: 0.0%
Foreign Stock: 0.0%
Preferred Stock: 0.0%
Domestic Bond: 100.0%
Foreign Bond: 0.0%
Convertible Bond: 0.0%
Other: -0.0%
Cash: 0.0%

Purchase Information

Fund Family: F/m Investments LLC
Phone Number: 800-617-0004
Website: www.rbbfund.com
Status: Open
Inception Date: November 14, 2022
Min. Initial Purchase: $ 0
Min. Initial IRA Purchase: $ 0
True No-Load: Yes
Front Load Maximum: 0.00%
Deferred Charge Maximum: 0.00%
Redemption Charge Maximum: 0.00%
12b-1 Fee: na

Expenses and Fees

Expense Ratio (%): 0.15% ( Rating : Low )
Category Average Expense Ratio (%): 0.64%
Share Class: F/m US Treasury 12 Month Bill ETF
Min. Subsequent Purchase: $ 0
Min. Subsequent IRA Purchase: $ 0
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