Financial Highlights
These financial highlights describe the performance of the fund's shares for the fiscal periods indicated. "Total return" shows how much your investment in the fund would have increased (or decreased) during each period, assuming you had reinvested all dividends and distributions. These financial highlights have been derived from the fund's financial statements, which have been audited by Ernst & Young LLP, an independent registered public accounting firm, whose report, along with the fund's financial statements, is included in the annual report, which is available upon request.
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Year Ended November 30,
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2013
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2012
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2011
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2010
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2009
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Per Share Data ($):
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Net asset value, beginning of period
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1.00
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1.00
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1.00
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1.00
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1.00
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Investment Operations:
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Investment income—net
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.000
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a
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.000
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a
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.000
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a
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.000
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a
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.003
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Distributions:
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Dividends from investment income--net
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(.000
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)
a
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(.000
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)
a
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(.000
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)
a
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(.000
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)
a
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(.003
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)
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Net asset value, end of period
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1.00
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1.00
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1.00
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1.00
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1.00
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Total Return (%)
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.00
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b
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.00
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b
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.00
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b
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.00
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b
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.27
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Ratios/Supplemental Data (%):
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Ratio of total expenses to average net assets
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.64
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.65
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.66
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.64
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.64
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Ratio of net expenses to average net assets
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.31
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.35
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.43
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.49
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.60
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Ratio of net investment income to average net assets
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.00
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b
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.00
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b
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.00
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b
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.00
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b
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.27
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Net Assets, end of period ($ x 1,000)
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242,490
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259,234
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277,305
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316,484
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434,393
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a
Amount represents less than $.001 per share.
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b
Amount represents less than .01%.
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9
For More Information
Dreyfus New Jersey Municipal Money Market Fund, Inc.
SEC file number: 811-5527
More information on this fund is available free upon request, including the following:
Annual/Semiannual Report
Describes the fund's performance, lists portfolio holdings and contains a letter from the fund's manager discussing recent market conditions, economic trends and fund strategies that significantly affected the fund's performance during the last fiscal year. The fund's most recent annual and semiannual reports are available at
www.dreyfus.com
.
Statement of Additional Information (SAI)
Provides more details about the fund and its policies. A current SAI is available at
www.dreyfus.com
and is on file with the Securities and Exchange Commission (SEC). The SAI is incorporated by reference (and is legally considered part of this prospectus).
Portfolio Holdings
Dreyfus funds generally disclose their complete schedule of portfolio holdings monthly with a 30-day lag at
www.dreyfus.com
under Products and Performance. Complete holdings as of the end of the calendar quarter are disclosed 15 days after the end of such quarter. Dreyfus money market funds generally disclose their complete schedule of holdings daily. The schedule of holdings for a fund will remain on the website until the fund files its Form N-Q or Form N-CSR for the period that includes the dates of the posted holdings.
A complete description of the fund's policies and procedures with respect to the disclosure of the fund's portfolio securities is available in the fund's SAI and at
www.dreyfus.com
.
To Obtain Information
By telephone.
Call your First Republic Bank Relationship Manager or 877-348-5576.
By mail.
First Republic Bank, 111 Pine Street, 7
th
Floor, Investment Division, San Francisco, CA 94111
On the Internet
.
Certain fund documents can be viewed online or downloaded from:
http://www.firstrepublic.com
SEC:
http://www.sec.gov
Dreyfus:
http://www.dreyfus.com
You can also obtain copies, after paying a duplicating fee, by visiting the SEC's Public Reference Room in Washington, DC (for information, call 1-202-551-8090) or by E-mail request to publicinfo@sec.gov, or by writing to the SEC's Public Reference Section, Washington, DC 20549-1520.
© 2014 MBSC Securities Corporation