FEDERATED HIGH INCOME BOND FUND INC INSTITUTIONAL SHARES(FHISX) USD 6.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.85%USD 0.12USD0.03262023-04-10
USD0.02832023-03-10
USD0.02982023-02-10
USD0.02942023-01-10
20225.83%USD 0.379USD0.04212022-12-12
USD0.03182022-11-10
USD0.0332022-10-10
USD0.03152022-09-12
USD0.03112022-08-10
USD0.03222022-07-11
USD0.03142022-06-10
USD0.03082022-05-10
USD0.03092022-04-11
USD0.02752022-03-10
USD0.02752022-02-10
USD0.02882022-01-10
20215.67%USD 0.368USD0.03992021-12-10
USD0.0312021-11-10
USD0.032021-10-11
USD0.0312021-09-10
USD0.03092021-08-10
USD0.0312021-07-12
USD0.0312021-06-10
USD0.03042021-05-10
USD0.03052021-04-12
USD0.02732021-03-10
USD0.02782021-02-10
USD0.0272021-01-11
20206.08%USD 0.395USD0.03992020-12-10
USD0.03082020-11-10
USD0.03152020-10-12
USD0.03292020-09-10
USD0.03172020-08-10
USD0.03222020-07-10
USD0.03412020-06-10
USD0.03362020-05-11
USD0.03482020-04-13
USD0.03092020-03-10
USD0.03152020-02-10
USD0.03062020-01-10
20196.42%USD 0.417USD0.04342019-12-10
USD0.03422019-11-11
USD0.03542019-10-10
USD0.03472019-09-10
USD0.03472019-08-12
USD0.03512019-07-10
USD0.03442019-06-10
USD0.03472019-05-10
USD0.03472019-04-10
USD0.03162019-03-11
USD0.03192019-02-11
USD0.0322019-01-10
20186.45%USD 0.419USD0.04492018-12-10
USD0.03552018-11-12
USD0.03472018-10-10
USD0.03532018-09-10
USD0.03452018-08-10
USD0.03452018-07-10
USD0.03542018-06-11
USD0.03442018-05-10
USD0.03492018-04-10
USD0.03172018-03-12
USD0.03162018-02-12
USD0.03122018-01-10
20175.99%USD 0.389USD0.04612017-12-11
USD0.03562017-11-10
USD0.03522017-10-10
USD0.03492017-09-11
USD0.03552017-08-10
USD0.03512017-07-10
USD0.03412017-06-12
USD0.03432017-05-10
USD0.0352017-04-10
USD0.03362017-03-10
USD0.02922017-02-10