Broad Bond Market Exposure
Fluctuating market conditions affect different bond market sectors differently. Federated Total Return Bond Fund offers a multi-sector approach and the versatility to quickly pursue opportunities by making security and sector selections in sync with a changing investment climate.

Well-Equipped to Seek Opportunities

  • The fund represents the best thinking of Federated’s fixed-income managers, analysts and traders who work collectively to arrive at an optimum combination of bonds for the portfolio.
  • Fund management has a decades-long track record navigating through numerous market and economic cycles. 

Pursues Higher Total Return with Less Risk
The fund’s risk management process combines top-down evaluation of macroeconomic events with intensive bottom-up monitoring of individual securities and sectors. The continuous assessment of risk versus return at each decision point seeks to ensure that consistent value is added while managing performance volatility.