Fund Research for Federated Capital Income A (CAPAX)

  • Fund Overview

    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
    View Fund Portfolio
    Style Box Detail calculations do not include the fund's short positions (if any) Style Box Detail calculations do not include the fund's short positions (if any)
  • Fund Performance

    10 year Growth Chart
    Growth of $10,000 from 12/31/1998 to 10/31/2009
    Mouseover the chart to see values for each month.

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    Total Annualized Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Fund 26.59% 32.45% 1.56% 5.06% -0.67% 6.61%
    +/- Category 7.01% 8.58% 1.03% 2.37% -3.88%
    +/- Morningstar Moderate Target Risk 4.76%

    Standardized Annual Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Month (as of 10/31/2009) 16.50% 17.30% -0.88% 3.87% -1.23% 6.33%
    Quarter (as of 09/30/2009) 16.34% 0.63% -0.31% 4.14% -0.76% 6.35%
  • Fund Portfolio Profile

    Sector Breakdown

    Stocks
    Information 6.13%
    Service 9.99%
    Manufacturing 13.59%
    Bond Quality
    AAA 12.01%
    AA 0.00%
    A 0.00%
    BBB 0.98%
    BB 40.29%
    B 46.72%
    Below B 0.00%
    Not Rated 0.00%

    Asset Allocation

    Short Long Net Assets
    Cash 13.10% 13.10%
    Stocks 29.71% 29.71%
    Bonds 53.82% 53.82%
    Other 3.22% 3.22%
    Foreign Stocks
    (as a % of assets)
    4.80% 4.80%
    Data as of 09/30/2009 Data as of 09/30/2009 View Fund Portfolio

    Top 10 Holdings

    Stock Holdings Sector P/E Return as of 10/31/2009 Net Assets
    + EXXON MOBIL CORP (XOM) Energy 17.30 -8.58% 1.41%
    - JOHNSON & JOHNSON (JNJ) Healthcare 13.66 0.90% 1.10%
    - AT&T INC (T) Telecom 13.21 -5.26% 1.00%
    = TRAVELERS COMPANIES INC (TRV) Financial Services 9.65 12.79% 0.99%
    Bond & Other Holdings Maturity Date Total Holdings Value of Holdings Net Assets
    - High Yield Bond Portfolio 16.68 M 100.76 M 26.59%
    - Emerging Markets Fixed Income Core Fund 3.69 M 86.45 M 22.81%
    + Federated Prime Value Obligations Instl 34.91 M 34.91 M 9.21%
    - Federated Mortgage Core Portfolio 2.56 M 25.89 M 6.83%
    + Wells Fargo & Co New Pfd 12/31/2049 5,000.00 4.46 M 1.18%
    + Bk Amer Pfd 12/31/2049 5,100.00 4.33 M 1.14%
    + Increase - Decrease = No change * New since last portfolio
    Top 10 holdings account for the fund's short positions (if any). Net short positions appear shaded.
    P/E as of 11/30/2009
    All other data as of 09/30/2009

  • Sales Information

    Sales Charge %

    Initial 5.50%
    Deferred
    Taken from prospectus dated 01/31/2009
    Expense Ratio (based on net assets) 1.31%
    Taken from annual report dated 11/30/2008

  • Fund Management