FEDERATED MDT LARGE CAP VALUE FUND INSTITUTIONAL SHARES(FMSTX) USD 26.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.088USD0.08762023-03-16
202214.72%USD 3.889USD0.15512022-12-16
USD3.479622022-12-06
USD0.07732022-09-26
USD0.08932022-06-24
USD0.08812022-03-24
202122.19%USD 5.863USD0.11342021-12-17
USD5.449962021-12-06
USD0.10762021-09-24
USD0.10112021-06-24
USD0.09112021-03-24
20201.65%USD 0.436USD0.13222020-12-18
USD0.10452020-09-24
USD0.08892020-06-24
USD0.11072020-03-24
20192.99%USD 0.791USD0.12212019-12-18
USD0.364132019-12-05
USD0.11232019-09-24
USD0.12019-06-24
USD0.09262019-03-25
20189.30%USD 2.458USD0.15982018-12-18
USD2.000992018-12-06
USD0.08722018-09-24
USD0.10232018-06-25
USD0.10762018-03-26
201710.92%USD 2.884USD0.08092017-12-18
USD2.476642017-12-05
USD0.11722017-09-25
USD0.10722017-06-26
USD0.10232017-03-24
20165.50%USD 1.452USD0.13072016-12-19
USD0.999082016-12-05
USD0.10252016-09-26
USD0.10832016-06-24
USD0.11142016-03-24
20158.94%USD 2.363USD0.15032015-12-18
USD1.913072015-12-03
USD0.10242015-09-24
USD0.09862015-06-24
USD0.09842015-03-24
20149.16%USD 2.421USD0.11132014-12-18
USD2.064092014-12-03
USD0.08832014-09-24
USD0.0782014-06-24
USD0.07892014-03-24
201313.57%USD 3.584USD0.09352013-12-20
USD3.233182013-12-04
USD0.09282013-09-24
USD0.08222013-06-24
USD0.08222013-03-25
20126.30%USD 1.665USD0.15092012-12-20
USD1.3182012-12-05
USD0.06822012-09-24
USD0.06952012-06-25
USD0.05832012-03-26
201111.85%USD 3.131USD0.10092011-12-22
USD2.869362011-12-05
USD0.0632011-09-26
USD0.0552011-06-24
USD0.0432011-03-24
20100.55%USD 0.144USD0.03392010-12-27
USD0.032010-09-24
USD0.03672010-06-24
USD0.04372010-03-24