FEDERATED EQUITY INCOME FUND INC CLASS A SHARES(LEIFX) USD 20.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.27%USD 0.055USD0.02252023-03-24
USD0.02972023-02-24
USD0.00312023-01-24
20227.49%USD 1.553USD1.311832022-12-27
USD0.04612022-11-25
USD0.01662022-10-24
USD0.0272022-09-26
USD0.02752022-08-24
USD0.012022-07-25
USD0.02282022-06-24
USD0.03852022-05-24
USD0.00422022-04-25
USD0.01662022-03-24
USD0.02992022-02-24
USD0.00182022-01-24
202118.99%USD 3.938USD3.753172021-12-27
USD0.00572021-11-24
USD0.00322021-10-25
USD0.01882021-09-24
USD0.0522021-08-24
USD0.00682021-07-26
USD0.01572021-06-24
USD0.03152021-05-24
USD0.00612021-04-26
USD0.01822021-03-24
USD0.02492021-02-24
USD0.00242021-01-25
20201.31%USD 0.272USD0.05512020-12-24
USD0.00752020-11-24
USD0.01082020-10-26
USD0.01752020-09-24
USD0.02052020-08-24
USD0.01322020-07-24
USD0.02332020-06-24
USD0.03852020-05-26
USD0.00622020-04-24
USD0.0212020-03-24
USD0.03572020-02-24
USD0.02242020-01-24
20192.14%USD 0.443USD0.05972019-12-24
USD0.08552019-11-25
USD0.02562019-10-24
USD0.02942019-09-24
USD0.04782019-08-26
USD0.02062019-07-24
USD0.02452019-06-24
USD0.04422019-05-24
USD0.01862019-04-24
USD0.02472019-03-25
USD0.04992019-02-25
USD0.01252019-01-24
201817.45%USD 3.619USD3.24662018-12-24
USD0.04352018-11-26
USD0.02412018-10-24
USD0.01682018-09-24
USD0.05292018-08-24
USD0.04012018-07-24
USD0.02172018-06-25
USD0.05152018-05-24
USD0.022018-04-24
USD0.04272018-03-26
USD0.03742018-02-26
USD0.02212018-01-24
20176.52%USD 1.351USD0.905242017-12-26
USD0.04692017-11-24
USD0.01672017-10-24
USD0.02542017-09-25
USD0.05252017-08-24
USD0.11882017-07-24
USD0.01952017-06-26
USD0.05262017-05-24
USD0.01792017-04-24
USD0.03432017-03-24
USD0.04492017-02-24
USD0.01652017-01-24
20164.41%USD 0.915USD0.03642016-12-27
USD0.413592016-12-23
USD0.06142016-11-25
USD0.02472016-10-24
USD0.02422016-09-26
USD0.10332016-08-24
USD0.03292016-07-25
USD0.0322016-06-24
USD0.04412016-05-24
USD0.02182016-04-25
USD0.06232016-03-24
USD0.03672016-02-24
USD0.0222016-01-25
20153.33%USD 0.691USD0.14032015-12-24
USD0.226082015-12-23
USD0.04412015-11-24
USD0.04382015-10-26
USD0.0342015-09-24
USD0.03212015-08-24
USD0.01842015-07-24
USD0.01712015-06-24
USD0.04132015-05-26
USD0.01732015-04-24
USD0.02472015-03-24
USD0.03512015-02-24
USD0.01632015-01-26
20149.12%USD 1.892USD1.519912014-12-24
USD0.05072014-11-24
USD0.00682014-10-24
USD0.01692014-09-24
USD0.04222014-08-25
USD0.00622014-07-24
USD0.0132014-06-24
USD0.0582014-05-27
USD0.00872014-04-24
USD0.01942014-03-24
USD0.11382014-02-24
USD0.03592014-01-24
20136.90%USD 1.431USD1.088852013-12-26
USD0.04252013-11-25
USD0.01712013-10-24
USD0.02152013-09-24
USD0.04222013-08-26
USD0.01832013-07-24
USD0.03282013-06-24
USD0.05812013-05-24
USD0.02162013-04-17
USD0.02182013-03-20
USD0.04772013-02-25
USD0.01842013-01-24
20123.60%USD 0.747USD0.09232012-12-27
USD0.0782012-11-26
USD0.1522012-10-24
USD0.05912012-09-24
USD0.05272012-08-24
USD0.05632012-07-24
USD0.05472012-06-25
USD0.07142012-05-24
USD0.0222012-04-24
USD0.02962012-03-26
USD0.0592012-02-24
USD0.02022012-01-24
20112.48%USD 0.515USD0.0572011-12-28
USD0.06292011-11-25
USD0.01882011-10-24
USD0.05012011-09-26
USD0.04022011-08-24
USD0.02742011-07-25
USD0.0652011-06-24
USD0.06872011-05-24
USD0.03992011-04-25
USD0.032011-03-24
USD0.042011-02-24
USD0.01512011-01-24
20102.55%USD 0.529USD0.0552010-12-27
USD0.0432010-11-24
USD0.02842010-10-25
USD0.04842010-09-24
USD0.03852010-08-24
USD0.03082010-07-26
USD0.05992010-06-24
USD0.07822010-05-24
USD0.022010-04-26
USD0.0462010-04-01
USD0.03492010-03-24
USD0.04022010-02-24
USD0.00562010-01-25
20092.19%USD 0.455USD0.0562009-12-24
USD0.0552009-11-24
USD0.0252009-10-26
USD0.042009-09-24
USD0.0442009-08-24
USD0.0212009-07-24
USD0.0392009-06-24
USD0.0532009-05-26
USD0.0212009-04-24
USD0.0242009-03-24
USD0.062009-02-24
USD0.0172009-01-26
20082.57%USD 0.534USD0.0462008-12-24
USD0.0492008-11-24
USD0.0272008-10-24
USD0.0372008-09-24
USD0.0512008-08-25
USD0.0382008-07-24
USD0.0492008-06-24
USD0.0692008-05-27
USD0.0272008-04-24
USD0.0552008-03-24
USD0.0622008-02-25
USD0.0242008-01-24
20075.81%USD 1.204USD0.748132007-12-24
USD0.0482007-11-26
USD0.032007-10-24
USD0.052007-09-24
USD0.062007-08-24
USD0.0382007-07-24
USD0.0382007-06-25
USD0.052007-05-24
USD0.0362007-04-24
USD0.0362007-03-26
USD0.0362007-02-26
USD0.0342007-01-24
20062.45%USD 0.508USD0.1542006-12-26
USD0.052006-11-24
USD0.0332006-10-24
USD0.0332006-09-25
USD0.0332006-08-24
USD0.0312006-07-24
USD0.0312006-06-26
USD0.0312006-05-24
USD0.0282006-04-24
USD0.0282006-03-24
USD0.0282006-02-24
USD0.0282006-01-24
20051.85%USD 0.383USD0.0922005-12-27
USD0.032005-11-25
USD0.0292005-10-24
USD0.0292005-09-26
USD0.0272005-08-24
USD0.0262005-07-25
USD0.0252005-06-24
USD0.0252005-05-24
USD0.0252005-04-25
USD0.0252005-03-24
USD0.0252005-02-24
USD0.0252005-01-24
20041.72%USD 0.356USD0.072004-12-27
USD0.0262004-11-24
USD0.0262004-10-25
USD0.0262004-09-24
USD0.0262004-08-24
USD0.0262004-07-26
USD0.0262004-06-24
USD0.0262004-05-24
USD0.0262004-04-26
USD0.0262004-03-24
USD0.0262004-02-24
USD0.0262004-01-26
20031.66%USD 0.345USD0.0822003-12-24
USD0.0262003-11-24
USD0.0262003-10-24
USD0.0262003-09-24
USD0.0242003-08-25
USD0.0242003-07-24
USD0.0242003-06-24
USD0.0242003-05-27
USD0.0242003-04-24
USD0.0242003-03-24
USD0.0242003-02-24
USD0.0172003-01-24
20021.16%USD 0.241USD0.0422002-12-24
USD0.0172002-11-25
USD0.0172002-10-24
USD0.0172002-09-24
USD0.0172002-08-26
USD0.0172002-07-24
USD0.0172002-06-24
USD0.0172002-05-24
USD0.0172002-04-24
USD0.0212002-03-25
USD0.0212002-02-25
USD0.0212002-01-24
20011.42%USD 0.294USD0.0212001-12-24
USD0.0472001-11-26
USD0.0212001-10-24
USD0.0212001-09-24
USD0.0212001-08-24
USD0.0212001-07-24
USD0.0212001-06-25
USD0.0252001-05-24
USD0.0252001-04-24
USD0.0252001-03-26
USD0.0252001-02-26
USD0.0212001-01-24
20003.86%USD 0.801USD0.0212000-12-26
USD0.20542000-11-24
USD0.0212000-10-24
USD0.0212000-09-25
USD0.0212000-08-24
USD0.0212000-07-24
USD0.38572000-06-26
USD0.0212000-05-24
USD0.0212000-04-24
USD0.0212000-03-24
USD0.0212000-02-24
USD0.0212000-01-24