FEDERATED INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND CLASS R6 SHARES(IVFLX) USD 3.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.70%USD 0.027USD0.01962023-03-30
USD0.00262023-02-27
USD0.00442023-01-30
20223.66%USD 0.139USD0.02122022-12-28
USD0.00922022-11-29
USD0.00362022-10-28
USD0.01152022-09-29
USD0.00392022-08-30
USD0.00492022-07-28
USD0.01142022-06-29
USD0.02282022-05-27
USD0.02352022-04-28
USD0.02342022-03-30
USD0.00072022-02-25
USD0.00322022-01-28
20213.58%USD 0.137USD0.01952021-12-28
USD0.00662021-11-29
USD0.00572021-10-28
USD0.01562021-09-29
USD0.00352021-08-30
USD0.00912021-07-29
USD0.01922021-06-29
USD0.02282021-05-27
USD0.01542021-04-29
USD0.01312021-03-30
USD0.0042021-02-25
USD0.0022021-01-28
20203.29%USD 0.125USD0.02252020-12-28
USD0.00662020-11-27
USD0.00292020-10-29
USD0.01112020-09-29
USD0.00572020-08-28
USD0.0122020-07-30
USD0.0112020-06-26
USD0.02172020-05-28
USD0.01222020-04-29
USD0.00852020-03-30
USD0.00762020-02-27
USD0.00362020-01-30
20193.82%USD 0.146USD0.01712019-12-26
USD0.01222019-11-27
USD0.00182019-10-30
USD0.01182019-09-27
USD0.00392019-08-29
USD0.00912019-07-30
USD0.01112019-06-27
USD0.03142019-05-30
USD0.01682019-04-29
USD0.01642019-03-28
USD0.00862019-02-27
USD0.00552019-01-30
20184.14%USD 0.158USD0.02122018-12-26
USD0.01382018-11-29
USD0.00142018-10-30
USD0.0112018-09-27
USD0.00482018-08-30
USD0.00752018-07-30
USD0.01932018-06-28
USD0.02062018-05-30
USD0.02172018-04-27
USD0.01912018-03-28
USD0.01362018-02-27
USD0.00372018-01-30
20174.13%USD 0.157USD0.02392017-12-26
USD0.01182017-11-29
USD0.00132017-10-30
USD0.00892017-09-28
USD0.0112017-08-30
USD0.00652017-07-28
USD0.01982017-06-29
USD0.02742017-05-30
USD0.022017-04-27
USD0.0172017-03-30
USD0.00792017-02-27
USD0.00192017-01-30