FEDERATED GLOBAL ALLOCATION FUND CLASS B SHARES(FSBBX) USD 17.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.85%USD 0.15USD0.09652022-12-29
USD0.00262022-09-29
USD0.02722022-06-29
USD0.02342022-03-30
202117.07%USD 3.007USD2.980092021-12-30
USD0.00232021-09-29
USD0.01372021-06-29
USD0.01082021-03-30
20201.91%USD 0.336USD0.308042020-12-30
USD0.0052020-09-29
USD0.02252020-06-29
USD0.00072020-03-30
20192.01%USD 0.355USD0.256382019-12-30
USD0.02952019-09-27
USD0.05042019-06-27
USD0.01842019-03-28
20184.81%USD 0.848USD0.751712018-12-28
USD0.02452018-09-27
USD0.05582018-06-28
USD0.01552018-03-28
20170.77%USD 0.135USD0.06852017-12-28
USD0.02212017-09-28
USD0.03582017-06-29
USD0.00862017-03-30
20161.06%USD 0.186USD0.09782016-12-29
USD0.00652016-09-29
USD0.04582016-06-29
USD0.03592016-03-30
20150.45%USD 0.079USD0.065042015-12-30
USD0.01352015-06-29
201410.09%USD 1.778USD1.754132014-12-30
USD0.02352014-05-30
201313.57%USD 2.39USD2.378482013-12-30
USD0.01192013-05-31
20122.00%USD 0.352USD0.32512012-12-28
USD0.0092012-08-31
USD0.0182012-05-31
20110.30%USD 0.053USD0.0422011-12-29
USD0.0012011-11-16
USD0.0052011-08-31
USD0.0052011-02-28
20100.19%USD 0.034USD0.0342010-12-30
20090.66%USD 0.116USD0.0172009-12-30
USD0.0362009-08-31
USD0.0242009-05-29
USD0.0392009-02-27
20081.46%USD 0.257USD0.0782008-12-30
USD0.0772008-11-28
USD0.0432008-08-29
USD0.0352008-05-30
USD0.0242008-02-29
20071.70%USD 0.299USD0.1132007-12-28
USD0.0622007-11-30
USD0.0342007-08-31
USD0.0482007-05-31
USD0.0422007-02-28
20061.49%USD 0.262USD0.0652006-12-27
USD0.0762006-11-30
USD0.0492006-08-31
USD0.0352006-05-31
USD0.0372006-02-28
20051.02%USD 0.179USD0.0262005-12-21
USD0.0652005-11-30
USD0.0292005-08-31
USD0.032005-05-31
USD0.0292005-02-28
20041.29%USD 0.227USD0.1372004-11-30
USD0.0312004-08-31
USD0.0322004-05-28
USD0.0272004-02-27
20030.94%USD 0.166USD0.0382003-11-28
USD0.0292003-08-29
USD0.052003-05-30
USD0.0492003-02-28
20021.40%USD 0.246USD0.0612002-11-29
USD0.062002-08-30
USD0.0582002-05-31
USD0.0672002-02-28
20012.00%USD 0.352USD0.0682001-11-30
USD0.0862001-08-31
USD0.0972001-05-31
USD0.1012001-02-28
20002.29%USD 0.404USD0.1052000-11-30
USD0.12000-08-31
USD0.1032000-05-31
USD0.0962000-02-29