Government money market mutual fund managed by Federated Hermes. Invests predominantly in short-term U.S. Treasury and government securities with maturities of 397 days or less, plus fully collateralized repurchase agreements. Targets stable NAV of $1.00/share under Rule 2a-7. Classified as a government money market fund and not subject to liquidity fee frameworks. Targets cash management investors in the financial services and asset management industry.