Bond Fund

Bond Fund AMutual FundsCorporate Bond

Overview

AT A GLANCE
Portfolio
Assets
$1.2 Billion
YTD Return NAV
3.33%
Fixed Income
Structure slanted roof, round circl and five columns.
Overall
Morningstar Rating
Gross
Expenses  †
1.00%
Net
Expenses  †
0.86%
STRATEGY

Seeks as high a level of current income as is consistent with the preservation of capital by investing in a professionally managed, diversified portfolio of fixed-income securities.

KEY FACTS
Key Facts - Part 1
Symbol Bond Fund A
Benchmark 1 Bloomberg Barclays United States Credit Index
Benchmark 2 75% Bloomberg Barclays United States Credit Index/25% Bloomberg Barclays United States Corporate High Yield 2% Issuer Capped Index
Key Facts - Part 2
Fund Number(s)
641
CUSIP 31420F103
Performance Incp. Date
MORNINGSTAR CATEGORY & STYLE
Category
Corporate Bond
Style
Morningstar Style Box
      High
      Medium
      Low
Ltd Mod Ext  
INVESTMENT GOALS Retirement
Income
MANAGERS
Brian Ruffner
Vice President
Senior Investment Analyst/ Portfolio Manager

joined Federated
21 years of experience
Bryan Dingle, CFA
Vice President
Senior Investment Analyst/ Portfolio Manager

joined Federated
24 years of experience
Mark Durbiano, CFA
Senior Vice President
Senior Portfolio Manager
Head of Domestic High Yield Group
Head of Bond Sector Pod/ Committee

joined Federated
36 years of experience
Steven Wagner
Senior Vice President
Senior Portfolio Manager
Senior Investment Analyst

joined Federated
22 years of experience
Christopher McGinley
Vice President
Head of Trade Finance Team
Portfolio Manager
Senior Investment Analyst

joined Federated
14 years of experience

Performance

Characteristics

Commentary

Documents

Distributions and Taxes