FEDERATED REAL RETURN BOND FUND INSTITUTIONAL SHARES(RRFIX) USD 10.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.38%USD 0.653USD0.17742022-12-29
USD0.18732022-09-29
USD0.19752022-06-29
USD0.09032022-03-30
20214.12%USD 0.421USD0.11112021-12-30
USD0.14712021-09-29
USD0.1432021-06-29
USD0.01952021-03-30
20201.07%USD 0.11USD0.052020-12-30
USD0.03552020-09-29
USD0.02412020-03-30
20192.04%USD 0.208USD0.04362019-12-30
USD0.04072019-09-27
USD0.12372019-06-27
20182.38%USD 0.244USD0.07472018-12-28
USD0.04872018-09-27
USD0.08362018-06-28
USD0.03662018-03-28
20172.19%USD 0.224USD0.11942017-12-28
USD0.01232017-09-28
USD0.05952017-06-29
USD0.03312017-03-30
20161.66%USD 0.17USD0.07222016-12-29
USD0.04722016-09-29
USD0.05072016-06-29
20150.73%USD 0.074USD0.07422015-09-29
20142.38%USD 0.243USD0.08042014-12-30
USD0.04592014-09-29
USD0.11652014-06-27
20131.89%USD 0.194USD0.09472013-12-30
USD0.06182013-09-27
USD0.0372013-06-27
20122.96%USD 0.303USD0.15252012-12-28
USD0.1282012-06-28
USD0.0222012-03-29
20114.24%USD 0.433USD0.1332011-12-29
USD0.0622011-09-29
USD0.182011-06-29
USD0.0582011-03-30
20103.13%USD 0.32USD0.1472010-12-30
USD0.042010-09-29
USD0.0892010-06-29
USD0.0442010-03-30
20091.74%USD 0.178USD0.0652009-12-30
USD0.0922009-08-31
USD0.0212009-07-31
20085.78%USD 0.591USD0.0042008-11-28
USD0.0022008-10-31
USD0.0612008-09-30
USD0.1052008-08-29
USD0.0872008-07-31
USD0.0692008-06-30
USD0.0912008-05-30
USD0.0492008-04-30
USD0.0522008-03-31
USD0.0062008-02-29
USD0.0652008-01-31
20075.49%USD 0.561USD0.042007-12-31
USD0.000582007-12-19
USD0.042007-11-30
USD0.0122007-10-31
USD0.022007-09-28
USD0.042007-08-31
USD0.0792007-07-31
USD0.0832007-06-29
USD0.1062007-05-31
USD0.0692007-04-30
USD0.0342007-03-30
USD0.0372007-02-28
20060.12%USD 0.012USD0.0022006-11-30
USD0.012006-10-31