Fund Inception Date: May 27, 1988
Category: Conservative Allocation
Overall Risk: Above Average
Fund Family: Federated
Return Since Inception: 6.61%
YTD Return: 26.59%
Yield (TTM): 4.91%
Net Assets: 230.37 M
- Morningstar Rating:
- 2 of 5
Morningstar Rating as of 10/31/2009
YTD Returns as of 11/27/2009
The investment seeks current income and long-term growth of income. Capital appreciation is a secondary objective. The fund invests in both equity and fixed income securities that have high relative income potential. Equity selection attempts to identify mature, mid to large-cap companies with high relative dividend yields that are likely to maintain and increase. Fixed-income investments are selected that offer high current yields. The fixed-income investments primarily are investment grade corporate debt, domestic non-investment grade debt and foreign fixed-income securities, including emerging market debt.
Stock Holdings
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| Size |
|
| Average Market Cap |
$40,481.90 M |
| Market Capitalization |
Portfolio |
| Giant |
54.14% |
| Large |
30.33% |
| Medium |
12.99% |
| Small |
2.54% |
| Micro |
0.00% |
Bond Holdings
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| Details |
|
| Average Eff Duration |
4.9 Yrs |
| Average Eff Maturity |
9.1 Yrs |
| Average Credit Quality |
BB |