FEDERATED INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND CLASS C SHARES(IVFCX) USD 3.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.018USD0.01632023-03-30
USD0.00142023-01-30
20222.81%USD 0.106USD0.0182022-12-28
USD0.00652022-11-29
USD0.0012022-10-28
USD0.00872022-09-29
USD0.00082022-08-30
USD0.00192022-07-28
USD0.00842022-06-29
USD0.01972022-05-27
USD0.02032022-04-28
USD0.02022022-03-30
20212.65%USD 0.1USD0.01652021-12-28
USD0.00362021-11-29
USD0.00252021-10-28
USD0.01252021-09-29
USD0.00032021-08-30
USD0.00592021-07-29
USD0.0162021-06-29
USD0.01972021-05-27
USD0.01242021-04-29
USD0.00892021-03-30
USD0.00142021-02-25
20202.45%USD 0.092USD0.01952020-12-28
USD0.00392020-11-27
USD0.00022020-10-29
USD0.00842020-09-29
USD0.00282020-08-28
USD0.00922020-07-30
USD0.00842020-06-29
USD0.01912020-05-28
USD0.00972020-04-29
USD0.0062020-03-30
USD0.00472020-02-27
USD0.00042020-01-30
20192.96%USD 0.111USD0.01292019-12-26
USD0.00932019-11-27
USD0.00892019-09-27
USD0.00112019-08-29
USD0.00622019-07-30
USD0.00832019-06-27
USD0.02852019-05-30
USD0.0142019-04-29
USD0.01342019-03-28
USD0.0062019-02-27
USD0.00272019-01-30
20183.29%USD 0.124USD0.01832018-12-26
USD0.0112018-11-29
USD0.00812018-09-27
USD0.00192018-08-30
USD0.00442018-07-30
USD0.01652018-06-28
USD0.01752018-05-30
USD0.01872018-04-27
USD0.01612018-03-28
USD0.01082018-02-27
USD0.00042018-01-30
20173.25%USD 0.122USD0.02072017-12-26
USD0.00872017-11-29
USD0.00572017-09-28
USD0.00782017-08-30
USD0.00342017-07-28
USD0.01662017-06-29
USD0.02412017-05-30
USD0.0172017-04-27
USD0.01392017-03-30
USD0.00422017-02-27
20162.29%USD 0.086USD0.01552016-12-27
USD0.0052016-11-29
USD0.00382016-09-29
USD0.00832016-08-30
USD0.00012016-07-28
USD0.01132016-06-29
USD0.00582016-05-27
USD0.01322016-04-28
USD0.00892016-03-30
USD0.01412016-02-26
20153.13%USD 0.118USD0.01352015-12-28
USD0.0132015-11-27
USD0.0142015-09-30
USD0.00262015-09-29
USD0.01182015-09-14
USD0.0042015-07-30
USD0.0112015-06-29
USD0.01022015-05-28
USD0.01092015-04-29
USD0.01512015-03-30
USD0.00712015-02-26
USD0.00452015-01-29
20144.62%USD 0.174USD0.026672014-12-26
USD0.00872014-11-26
USD0.00532014-09-29
USD0.01292014-08-28
USD0.00022014-07-30
USD0.01032014-06-27
USD0.02522014-05-29
USD0.01472014-04-29
USD0.01782014-03-28
USD0.04892014-02-27
USD0.00292014-01-30
20133.11%USD 0.117USD0.022552013-12-26
USD0.0092013-11-27
USD0.00462013-09-27
USD0.0112013-08-29
USD0.00082013-07-30
USD0.00382013-06-27
USD0.02542013-05-30
USD0.01692013-04-29
USD0.00922013-03-27
USD0.00842013-02-27
USD0.00512013-01-30
20122.87%USD 0.108USD0.016872012-12-26
USD0.00892012-11-29
USD0.01032012-09-27
USD0.01042012-08-30
USD0.00282012-07-30
USD0.00142012-06-28
USD0.02412012-05-30
USD0.0122012-04-27
USD0.02122012-03-26
20113.09%USD 0.116USD0.0132011-12-27
USD0.02172011-09-27
USD0.06332011-06-27
USD0.01832011-03-28
20103.40%USD 0.128USD0.027152010-12-27
USD0.02432010-09-27
USD0.06042010-06-28
USD0.01612010-03-29
20092.38%USD 0.089USD0.01382009-12-29
USD0.07552009-06-29
20082.09%USD 0.079USD0.06132008-12-29
USD0.01742008-06-27