FEDERATED STRATEGIC INCOME FUND CLASS R6 SHARES(STILX) USD 7.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.47%USD 0.116USD0.02922023-04-13
USD0.02832023-03-13
USD0.03142023-02-13
USD0.0272023-01-13
20224.92%USD 0.387USD0.0632022-12-29
USD0.03482022-11-21
USD0.02962022-10-19
USD0.03092022-09-19
USD0.03122022-08-19
USD0.03072022-07-19
USD0.02782022-06-21
USD0.02752022-05-19
USD0.02852022-04-19
USD0.02882022-03-21
USD0.02812022-02-22
USD0.02642022-01-19
20214.75%USD 0.374USD0.05432021-12-30
USD0.03042021-11-19
USD0.02642021-10-19
USD0.02462021-09-20
USD0.02572021-08-19
USD0.02672021-07-19
USD0.0272021-06-21
USD0.02622021-05-19
USD0.02752021-04-19
USD0.02622021-03-19
USD0.02612021-02-19
USD0.02622021-01-29
USD0.02622021-01-19
20204.35%USD 0.342USD0.07612020-12-30
USD0.0272020-11-19
USD0.03352020-10-19
USD0.03482020-09-21
USD0.03572020-08-19
USD0.00522020-07-20
USD0.01412020-06-19
USD0.022020-05-19
USD0.0212020-04-20
USD0.02512020-03-19
USD0.0252020-02-19
USD0.02492020-01-21
20194.28%USD 0.337USD0.0512019-12-30
USD0.02752019-11-19
USD0.01732019-10-21
USD0.02112019-09-19
USD0.02522019-08-19
USD0.02592019-07-19
USD0.02592019-06-19
USD0.02762019-05-20
USD0.02832019-04-22
USD0.02872019-03-19
USD0.02992019-02-19
USD0.02882019-01-22
20184.92%USD 0.387USD0.08432018-12-28
USD0.03412018-11-19
USD0.03472018-10-19
USD0.02012018-09-19
USD0.02382018-08-20
USD0.0262018-07-19
USD0.02592018-06-19
USD0.02822018-05-21
USD0.02782018-04-19
USD0.02672018-03-19
USD0.0252018-02-20
USD0.03062018-01-19
20174.53%USD 0.357USD0.06732017-12-28
USD0.03342017-11-20
USD0.03082017-10-19
USD0.02612017-09-19
USD0.02962017-08-21
USD0.0292017-07-19
USD0.0292017-06-19
USD0.02842017-05-19
USD0.02892017-04-19
USD0.02712017-03-20
USD0.02712017-02-21