FEDERATED MID-CAP INDEX FUND INSTITUTIONAL SHARES(FMCRX) USD 15.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.054USD0.05372023-03-15
202212.40%USD 1.923USD0.09842022-12-19
USD1.711652022-12-07
USD0.03692022-09-26
USD0.03292022-06-24
USD0.04292022-03-24
202128.42%USD 4.405USD0.08572021-12-20
USD4.217492021-12-06
USD0.02942021-09-24
USD0.02992021-06-24
USD0.04252021-03-24
202019.73%USD 3.058USD0.0752020-12-18
USD2.862112020-12-04
USD0.01722020-09-24
USD0.03772020-06-24
USD0.06582020-03-24
201913.89%USD 2.154USD0.0952019-12-18
USD1.88012019-12-05
USD0.05722019-09-24
USD0.05972019-06-24
USD0.06152019-03-25
201830.05%USD 4.658USD0.09192018-12-18
USD4.362922018-12-06
USD0.07182018-09-24
USD0.06632018-06-25
USD0.06542018-03-26
201727.92%USD 4.328USD0.10632017-12-18
USD4.064522017-12-05
USD0.04912017-09-25
USD0.04182017-06-26
USD0.06652017-03-24
201618.80%USD 2.914USD0.1192016-12-19
USD2.576192016-12-05
USD0.09682016-09-26
USD0.05122016-06-24
USD0.07072016-03-24
201522.46%USD 3.482USD0.10272015-12-18
USD3.168432015-12-03
USD0.07322015-09-24
USD0.06312015-06-24
USD0.07462015-03-24
201419.17%USD 2.972USD0.12212014-12-18
USD2.630872014-12-04
USD0.07852014-09-24
USD0.06682014-06-24
USD0.07342014-03-24
201315.08%USD 2.338USD0.08642013-12-19
USD0.782162013-12-05
USD0.07512013-09-24
USD1.262132013-06-26
USD0.07092013-06-24
USD0.06122013-03-25
20125.67%USD 0.879USD0.11082012-12-20
USD0.591292012-12-06
USD0.06222012-09-24
USD0.05582012-06-25
USD0.05912012-03-26