FEDERATED BOND FUND CLASS R6 SHARES(FDBLX) USD 8.23
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.93%USD 0.076USD0.02562023-03-24
USD0.02522023-02-24
USD0.02542023-01-24
20223.85%USD 0.317USD0.02672022-12-27
USD0.02612022-11-23
USD0.02662022-10-24
USD0.02572022-09-26
USD0.02562022-08-24
USD0.02572022-07-25
USD0.02392022-06-24
USD0.0262022-05-24
USD0.02672022-04-25
USD0.02832022-03-24
USD0.02772022-02-24
USD0.02792022-01-24
20214.09%USD 0.336USD0.02852021-12-27
USD0.02742021-11-24
USD0.02872021-10-25
USD0.02782021-09-24
USD0.02792021-08-24
USD0.02782021-07-26
USD0.02792021-06-24
USD0.02812021-05-24
USD0.02832021-04-26
USD0.02832021-03-24
USD0.02792021-02-24
USD0.02782021-01-25
20204.20%USD 0.346USD0.0282020-12-24
USD0.02732020-11-24
USD0.02732020-10-26
USD0.02782020-09-24
USD0.0282020-08-24
USD0.02822020-07-24
USD0.02662020-06-24
USD0.02932020-05-26
USD0.03012020-04-24
USD0.03082020-03-24
USD0.03172020-02-24
USD0.03042020-01-24
20194.53%USD 0.373USD0.03072019-12-24
USD0.02922019-11-25
USD0.03032019-10-24
USD0.03012019-09-24
USD0.03052019-08-26
USD0.03072019-07-24
USD0.03052019-06-24
USD0.03492019-05-24
USD0.03122019-04-24
USD0.03212019-03-25
USD0.03162019-02-25
USD0.03082019-01-24
20184.25%USD 0.35USD0.03272018-12-24
USD0.03052018-11-26
USD0.02922018-10-24
USD0.02662018-09-24
USD0.02832018-08-24
USD0.02782018-07-24
USD0.02792018-06-25
USD0.02812018-05-24
USD0.02812018-04-24
USD0.02842018-03-26
USD0.03082018-02-26
USD0.03122018-01-24
20174.61%USD 0.38USD0.066442017-12-26
USD0.02972017-11-24
USD0.0292017-10-24
USD0.02882017-09-25
USD0.02922017-08-24
USD0.02962017-07-24
USD0.02832017-06-26
USD0.02652017-05-24
USD0.02782017-04-24
USD0.02792017-03-24
USD0.02812017-02-24
USD0.02832017-01-24
20161.45%USD 0.12USD0.060622016-12-27
USD0.03122016-11-25
USD0.02792016-10-24