Combines High Quality with a High-Yield Advantage
Although the majority of the fund’s diverse approximately 400 holdings are investment grade, its ability to strategically increase its high-yield corporate stake-up to 35%–allows investors to own a quality portfolio while pursuing above-average yield.

A Depth of Experience and Skill to Identify Opportunities
When navigating today’s challenging credit markets, experience matters.  Federated Bond Fund’s talented, tenured management team has a solid track record of finding fixed income opportunities through multiple interest rate and economic cycles.

Managing Risk through a Top-Down, Bottom-Up Approach
Complementing their philosophy of taking risk only when they believe it pays, the fund managers employ a full array of decision tools that combines top-down analysis of broad economic views and events with intensive, bottom-up evaluation of individual sectors and securities.