FEDERATED MAX-CAP INDEX FUND INSTITUTIONAL SHARES(FISPX) USD 7.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.025USD0.02522023-03-15
202215.45%USD 1.159USD0.03152022-12-19
USD1.060542022-12-07
USD0.02552022-09-26
USD0.01812022-06-24
USD0.02292022-03-24
202121.76%USD 1.632USD0.03142021-12-20
USD1.532972021-12-06
USD0.02732021-09-24
USD0.01892021-06-24
USD0.02132021-03-24
202028.86%USD 2.165USD0.042020-12-18
USD1.989542020-12-04
USD0.03112020-09-24
USD0.02872020-06-24
USD0.07522020-03-24
201920.04%USD 1.503USD0.04672019-12-18
USD1.36822019-12-05
USD0.03232019-09-24
USD0.03132019-06-24
USD0.02432019-03-25
201854.10%USD 4.057USD0.06882018-12-18
USD3.861132018-12-06
USD0.04282018-09-24
USD0.0452018-06-25
USD0.03972018-03-26
201744.20%USD 3.315USD0.07342017-12-18
USD3.0872017-12-05
USD0.05742017-09-25
USD0.04842017-06-26
USD0.04882017-03-24
201632.82%USD 2.462USD0.07992016-12-19
USD2.197922016-12-05
USD0.06492016-09-26
USD0.05662016-06-24
USD0.06242016-03-24
201528.19%USD 2.114USD0.0782015-12-18
USD1.836292015-12-03
USD0.07382015-09-24
USD0.06332015-06-24
USD0.06272015-03-24
201426.55%USD 1.991USD0.0772014-12-18
USD1.724322014-12-04
USD0.0632014-09-24
USD0.06652014-06-24
USD0.06062014-03-24
201321.53%USD 1.614USD0.07292013-12-19
USD1.358362013-12-05
USD0.06342013-09-24
USD0.06292013-06-24
USD0.05692013-03-25
201218.53%USD 1.39USD0.08652012-12-20
USD1.122122012-12-06
USD0.062012-09-24
USD0.06282012-06-25
USD0.05862012-03-26
20116.30%USD 0.472USD0.05492011-12-22
USD0.256222011-12-06
USD0.05632011-09-26
USD0.05382011-06-24
USD0.05122011-03-24
201011.24%USD 0.843USD0.05512010-12-27
USD0.634652010-12-06
USD0.0552010-09-24
USD0.04922010-06-24
USD0.0492010-03-24
200910.74%USD 0.806USD0.0562009-12-24
USD0.590852009-12-07
USD0.0452009-09-24
USD0.0532009-06-24
USD0.0612009-03-24
200863.33%USD 4.75USD0.0872008-12-24
USD4.376952008-12-08
USD0.0992008-09-24
USD0.092008-06-24
USD0.0972008-03-24
200748.62%USD 3.647USD0.1152007-12-24
USD3.206522007-11-26
USD0.1152007-09-24
USD0.112007-06-25
USD0.12007-03-26
200632.26%USD 2.42USD0.122006-12-26
USD2.001582006-11-27
USD0.1062006-09-25
USD0.12006-06-26
USD0.0922006-03-24
200511.95%USD 0.896USD0.1132005-12-27
USD0.5232005-11-23
USD0.0922005-09-26
USD0.0862005-06-24
USD0.0822005-03-24
20045.21%USD 0.391USD0.1612004-12-27
USD0.082004-09-24
USD0.0762004-06-24
USD0.0742004-03-24
20033.83%USD 0.287USD0.0832003-12-24
USD0.0722003-09-24
USD0.0652003-06-24
USD0.0672003-03-24
20023.41%USD 0.256USD0.0672002-12-24
USD0.0632002-09-24
USD0.0632002-06-24
USD0.0632002-03-25
20013.40%USD 0.255USD0.0652001-12-24
USD0.0622001-09-24
USD0.0622001-06-25
USD0.0662001-03-26
20003.88%USD 0.291USD0.0932000-12-26
USD0.0662000-09-25
USD0.0662000-06-26
USD0.0662000-03-24