FEDERATED MAX-CAP INDEX FUND SERVICE SHARES(FMXSX) USD 7.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.02USD0.022023-03-15
202215.59%USD 1.134USD0.02642022-12-19
USD1.060542022-12-07
USD0.01912022-09-26
USD0.01162022-06-24
USD0.01592022-03-24
202122.06%USD 1.604USD0.02452021-12-20
USD1.532972021-12-06
USD0.01932021-09-24
USD0.01142021-06-24
USD0.01552021-03-24
202028.87%USD 2.099USD0.03262020-12-18
USD1.989542020-12-04
USD0.02372020-09-24
USD0.02242020-06-24
USD0.03062020-03-24
201920.31%USD 1.477USD0.03912019-12-18
USD1.36822019-12-05
USD0.02462019-09-24
USD0.0242019-06-24
USD0.02082019-03-25
201855.29%USD 4.02USD0.05872018-12-18
USD3.861132018-12-06
USD0.03222018-09-24
USD0.03522018-06-25
USD0.03232018-03-26
201744.99%USD 3.271USD0.06152017-12-18
USD3.0872017-12-05
USD0.04562017-09-25
USD0.03672017-06-26
USD0.04012017-03-24
201633.28%USD 2.419USD0.06812016-12-19
USD2.197922016-12-05
USD0.05352016-09-26
USD0.04582016-06-24
USD0.05382016-03-24
201528.41%USD 2.066USD0.06542015-12-18
USD1.836292015-12-03
USD0.06162015-09-24
USD0.05072015-06-24
USD0.05162015-03-24
201426.71%USD 1.942USD0.06392014-12-18
USD1.724322014-12-04
USD0.05012014-09-24
USD0.05422014-06-24
USD0.04952014-03-24
201321.57%USD 1.568USD0.06052013-12-19
USD1.358362013-12-05
USD0.05152013-09-24
USD0.05132013-06-24
USD0.04642013-03-25
201218.53%USD 1.347USD0.07522012-12-20
USD1.122122012-12-06
USD0.04922012-09-24
USD0.05212012-06-25
USD0.04842012-03-26
20115.95%USD 0.433USD0.04532011-12-22
USD0.256222011-12-06
USD0.04632011-09-26
USD0.04382011-06-24
USD0.04122011-03-24
201011.10%USD 0.807USD0.04682010-12-27
USD0.634652010-12-06
USD0.0462010-09-24
USD0.03962010-06-24
USD0.042010-03-24
200910.64%USD 0.774USD0.0472009-12-24
USD0.590852009-12-07
USD0.0372009-09-24
USD0.0452009-06-24
USD0.0542009-03-24
200864.55%USD 4.693USD0.0782008-12-24
USD4.376952008-12-08
USD0.0842008-09-24
USD0.0732008-06-24
USD0.0812008-03-24
200749.04%USD 3.566USD0.0962007-12-24
USD3.206522007-11-26
USD0.0942007-09-24
USD0.0892007-06-25
USD0.082007-03-26
200632.21%USD 2.342USD0.12006-12-26
USD2.001582006-11-27
USD0.0872006-09-25
USD0.082006-06-26
USD0.0732006-03-24
200511.31%USD 0.822USD0.0952005-12-27
USD0.5232005-11-23
USD0.0722005-09-26
USD0.0682005-06-24
USD0.0642005-03-24
20044.42%USD 0.321USD0.1442004-12-27
USD0.0632004-09-24
USD0.0572004-06-24
USD0.0572004-03-24
20033.16%USD 0.23USD0.0662003-12-24
USD0.0582003-09-24
USD0.052003-06-24
USD0.0562003-03-24
20022.68%USD 0.195USD0.0542002-12-24
USD0.0492002-09-24
USD0.0462002-06-24
USD0.0462002-03-25
20012.49%USD 0.181USD0.0472001-12-24
USD0.0442001-09-24
USD0.0442001-06-25
USD0.0462001-03-26
20002.83%USD 0.206USD0.0722000-12-26
USD0.0442000-09-25
USD0.0452000-06-26
USD0.0452000-03-24