FEDERATED INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND CLASS A SHARES(IVFAX) USD 3.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.64%USD 0.024USD0.01882023-03-30
USD0.00192023-02-27
USD0.00362023-01-30
20223.42%USD 0.13USD0.02042022-12-28
USD0.00852022-11-29
USD0.00292022-10-28
USD0.01082022-09-29
USD0.00312022-08-30
USD0.00412022-07-28
USD0.01072022-06-29
USD0.02192022-05-27
USD0.02272022-04-28
USD0.02272022-03-30
USD0.00222022-01-28
20213.34%USD 0.127USD0.01882021-12-28
USD0.00582021-11-29
USD0.00492021-10-28
USD0.01482021-09-29
USD0.00272021-08-30
USD0.00822021-07-29
USD0.01842021-06-29
USD0.0222021-05-27
USD0.01472021-04-29
USD0.01222021-03-30
USD0.00332021-02-25
USD0.00132021-01-28
20203.07%USD 0.117USD0.02172020-12-28
USD0.00592020-11-27
USD0.00222020-10-29
USD0.01042020-09-29
USD0.00492020-08-28
USD0.01132020-07-30
USD0.01042020-06-29
USD0.0212020-05-28
USD0.01152020-04-29
USD0.00792020-03-30
USD0.00692020-02-27
USD0.00272020-01-30
20193.60%USD 0.137USD0.01632019-12-26
USD0.01152019-11-27
USD0.0012019-10-30
USD0.0112019-09-27
USD0.00322019-08-29
USD0.00842019-07-30
USD0.01032019-06-27
USD0.03072019-05-30
USD0.0162019-04-29
USD0.01572019-03-28
USD0.00792019-02-27
USD0.00482019-01-30
20183.91%USD 0.148USD0.02052018-12-26
USD0.01312018-11-29
USD0.00052018-10-30
USD0.01032018-09-27
USD0.00412018-08-30
USD0.00662018-07-30
USD0.01862018-06-28
USD0.01992018-05-30
USD0.02082018-04-27
USD0.01842018-03-28
USD0.01292018-02-27
USD0.00272018-01-30
20173.89%USD 0.148USD0.02312017-12-26
USD0.01112017-11-29
USD0.00042017-10-30
USD0.0082017-09-28
USD0.01022017-08-30
USD0.00572017-07-28
USD0.0192017-06-29
USD0.02652017-05-30
USD0.01932017-04-27
USD0.01622017-03-30
USD0.00712017-02-27
USD0.00122017-01-30
20162.85%USD 0.108USD0.01782016-12-27
USD0.00712016-11-29
USD0.0062016-09-29
USD0.01072016-08-30
USD0.00242016-07-28
USD0.01352016-06-29
USD0.00812016-05-27
USD0.01552016-04-28
USD0.01122016-03-30
USD0.01612016-02-26
20153.91%USD 0.149USD0.01572015-12-28
USD0.01532015-11-27
USD0.0192015-09-30
USD0.00472015-09-29
USD0.01422015-09-14
USD0.00652015-07-30
USD0.01332015-06-29
USD0.01282015-05-28
USD0.01332015-04-29
USD0.01752015-03-30
USD0.00942015-02-26
USD0.00692015-01-29
20145.32%USD 0.202USD0.029172014-12-26
USD0.01122014-11-26
USD0.00792014-09-29
USD0.01562014-08-28
USD0.0032014-07-30
USD0.0132014-06-27
USD0.0282014-05-29
USD0.01732014-04-29
USD0.02042014-03-28
USD0.05132014-02-27
USD0.00542014-01-30
20133.78%USD 0.144USD0.025152013-12-26
USD0.01162013-11-27
USD0.00032013-10-30
USD0.0072013-09-27
USD0.01352013-08-29
USD0.00312013-07-30
USD0.00632013-06-27
USD0.02782013-05-30
USD0.01932013-04-29
USD0.01172013-03-27
USD0.01052013-02-27
USD0.00742013-01-30
20123.47%USD 0.132USD0.019272012-12-26
USD0.01112012-11-29
USD0.00062012-10-31
USD0.01262012-09-27
USD0.01262012-08-30
USD0.0052012-07-30
USD0.00352012-06-28
USD0.02632012-05-30
USD0.01432012-04-27
USD0.02672012-03-26
20113.74%USD 0.142USD0.0192011-12-27
USD0.02822011-09-27
USD0.07012011-06-27
USD0.0252011-03-28
20104.04%USD 0.154USD0.033952010-12-27
USD0.03092010-09-27
USD0.06642010-06-28
USD0.02232010-03-29
20092.78%USD 0.106USD0.02152009-12-29
USD0.08412009-06-29
20082.59%USD 0.098USD0.08172008-12-29
USD0.01672008-06-27