FEDERATED BOND FUND INSTITUTIONAL SHARES(FDBIX) USD 8.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.92%USD 0.076USD0.02552023-03-24
USD0.02512023-02-24
USD0.02522023-01-24
20223.83%USD 0.315USD0.02672022-12-27
USD0.02582022-11-23
USD0.02652022-10-24
USD0.02562022-09-26
USD0.02542022-08-24
USD0.02552022-07-25
USD0.02382022-06-24
USD0.02592022-05-24
USD0.02652022-04-25
USD0.02812022-03-24
USD0.02762022-02-24
USD0.02782022-01-24
20214.07%USD 0.335USD0.02822021-12-27
USD0.02742021-11-24
USD0.02842021-10-25
USD0.02782021-09-24
USD0.02772021-08-24
USD0.02772021-07-26
USD0.02782021-06-24
USD0.02782021-05-24
USD0.02822021-04-26
USD0.0282021-03-24
USD0.02792021-02-24
USD0.02762021-01-25
20204.18%USD 0.343USD0.0282020-12-24
USD0.02712020-11-24
USD0.02712020-10-26
USD0.02772020-09-24
USD0.02782020-08-24
USD0.02812020-07-24
USD0.02642020-06-24
USD0.0292020-05-26
USD0.02992020-04-24
USD0.03092020-03-24
USD0.03142020-02-24
USD0.032020-01-24
20194.51%USD 0.371USD0.03052019-12-24
USD0.0292019-11-25
USD0.03022019-10-24
USD0.032019-09-24
USD0.03032019-08-26
USD0.03052019-07-24
USD0.03032019-06-24
USD0.03522019-05-24
USD0.0312019-04-24
USD0.03212019-03-25
USD0.03142019-02-25
USD0.03062019-01-24
20184.24%USD 0.349USD0.03252018-12-24
USD0.03052018-11-26
USD0.0292018-10-24
USD0.02742018-09-24
USD0.02812018-08-24
USD0.02762018-07-24
USD0.02782018-06-25
USD0.02792018-05-24
USD0.0282018-04-24
USD0.02822018-03-26
USD0.03062018-02-26
USD0.03112018-01-24
20174.74%USD 0.39USD0.066242017-12-26
USD0.03042017-11-24
USD0.02912017-10-24
USD0.0292017-09-25
USD0.02942017-08-24
USD0.02952017-07-24
USD0.02892017-06-26
USD0.02842017-05-24
USD0.02922017-04-24
USD0.02972017-03-24
USD0.02992017-02-24
USD0.03022017-01-24
20164.84%USD 0.398USD0.062282016-12-27
USD0.03312016-11-25
USD0.02992016-10-24
USD0.02792016-09-26
USD0.02932016-08-24
USD0.02932016-07-25
USD0.03022016-06-24
USD0.03012016-05-24
USD0.03132016-04-25
USD0.03142016-03-24
USD0.03142016-02-24
USD0.03152016-01-25
20156.25%USD 0.514USD0.158592015-12-28
USD0.03462015-11-24
USD0.03242015-10-26
USD0.03212015-09-24
USD0.03152015-08-24
USD0.03192015-07-24
USD0.03212015-06-24
USD0.03162015-05-26
USD0.03182015-04-24
USD0.03252015-03-24
USD0.0322015-02-24
USD0.03252015-01-26
20145.17%USD 0.425USD0.05732014-12-26
USD0.03472014-11-24
USD0.03242014-10-24
USD0.03282014-09-24
USD0.03192014-08-25
USD0.03282014-07-24
USD0.03212014-06-24
USD0.03312014-05-27
USD0.03392014-04-24
USD0.03462014-03-24
USD0.03442014-02-24
USD0.03512014-01-24
20135.42%USD 0.446USD0.06412013-12-26
USD0.03762013-11-25
USD0.03712013-10-24
USD0.03592013-09-24
USD0.03582013-08-26
USD0.03562013-07-24
USD0.03462013-06-24
USD0.03272013-05-24
USD0.03322013-04-24
USD0.03332013-03-25
USD0.03172013-02-25
USD0.03412013-01-24
20125.92%USD 0.487USD0.05892012-12-26
USD0.04142012-11-26
USD0.03672012-10-24
USD0.03422012-09-24
USD0.03752012-08-24
USD0.04032012-07-24
USD0.03892012-06-25
USD0.03852012-05-24
USD0.03792012-04-24
USD0.04042012-03-26
USD0.04042012-02-24
USD0.04142012-01-24
20116.34%USD 0.522USD0.06282011-12-27
USD0.04142011-11-25
USD0.03722011-10-24
USD0.04012011-09-26
USD0.04172011-08-24
USD0.04162011-07-25
USD0.04382011-06-24
USD0.04192011-05-24
USD0.04342011-04-25
USD0.04152011-03-24
USD0.04292011-02-24
USD0.04322011-01-24
20107.00%USD 0.576USD0.08422010-12-27
USD0.04982010-11-24
USD0.0462010-10-25
USD0.04582010-09-24
USD0.04572010-08-24
USD0.0442010-07-26
USD0.04392010-06-24
USD0.04342010-05-24
USD0.04492010-04-26
USD0.04362010-03-24
USD0.04242010-02-24
USD0.0422010-01-25
20096.54%USD 0.537USD0.06932009-12-24
USD0.04432009-11-24
USD0.0442009-10-26
USD0.04312009-09-24
USD0.04332009-08-24
USD0.04132009-07-24
USD0.04132009-06-24
USD0.04162009-05-26
USD0.04122009-04-24
USD0.04162009-03-24
USD0.04232009-02-24
USD0.04412009-01-26
20086.19%USD 0.509USD0.08322008-12-24
USD0.0492008-11-24
USD0.04332008-10-24
USD0.04162008-09-24
USD0.04082008-08-25
USD0.04022008-07-24
USD0.0422008-06-24
USD0.04422008-05-27
USD0.04242008-04-24
USD0.04192008-03-24
USD0.04012008-02-25